1. Date of Event: September 2, 2026 (115/09/02) 2. Reason for Occurrence: In accordance with notification from the Securities Over-the-Counter Exchange Center regarding material information disclosure. 3. Corporate Bond Information: - Maturity Date: August 15, 2027 (116/08/15) - Actual Total Issuance Amount: NT$500,000,000 - Current Issuance Balance: NT$65,200,000 (unconverted amount as of August 31, 2026) - Latest Conversion (or Delivery) Price: NT$147.4 - Closing Price of Underlying Stock (6830): NT$598 (closing price on September 2, 2026) - Closing Price of Convertible Bond (68301): NT$385 (closing price on September 2, 2026) 4. Other Matters to be Disclosed: None
FACT BOX
- Source: PR Times
- Category: News
- Dates in source: 115/09/02 / 116/08/15