1. Factual Date: 2026/07/21 2. Reason for Announcement: In accordance with notification from the Securities Over-the-Counter Exchange Center regarding material information disclosure. 3. Corporate Bond Information: - Maturity Date: 2030/11/03 - Actual Total Issuance Amount: NT$4,000,000,000 - Current Issuance Balance: NT$1,238,600,000 (unconverted amount as of 2026/07/20) - Latest Conversion Price: NT$163.8 - Closing Price of Underlying Stock (3037): NT$825 (closing price on 2026/07/21) - Closing Price of Convertible Bond (30371): NT$495 (closing price on 2026/07/21) 4. Other Matters to be Stated: None
FACT BOX
- Source: PR Times
- Category: News