1. Date of Event: June 26, 2026 (R.O.C. Year 115) 2. Reason for Announcement: In compliance with notification from the GreTai Securities Market (GTSM) 3. Convertible Bond Information: Maturity Date: June 17, 2028 (R.O.C. Year 117) Total Issuance Amount: NT$1,200,000,000 Outstanding Issuance Balance this Month: NT$361,700,000 (unconverted amount as of June 26, 2026) Latest Conversion (or Delivery) Price: NT$72.4 per share Closing Price of Underlying Stock (2351): NT$196.5 (closing price on June 26, 2026) Closing Price of Convertible Bond (23511): NT$276 (closing price on June 26, 2026) 4. Other Matters to be Disclosed: Material Information as Defined in Article 4 of the 'GTSM Procedures for Verification and Public Disclosure of Material Information by Listed Companies': None
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- Source: PR Times
- Category: News