1. Date of Event: June 24, 115 (2026)

2. Reason for Announcement: Notification received from the Taipei Exchange (TPEx), requiring disclosure under trading monitoring rules.

3. Convertible Bond Information:

- Maturity Date: January 22, 120 (2041) - Total Issuance Amount: NT$500,000,000 - Outstanding Issuance Balance for This Month: NT$73,000,000 (unconverted amount as of June 23, 115) - Latest Conversion Price: NT$93.40 - Closing Price of Underlying Stock (6672): NT$263.50 (closing price on June 24, 115) - Closing Price of Convertible Bond (66721): NT$279.00 (closing price on June 24, 115)

4. Other Disclosures:

There are no material events under Article 4 of the 'Procedures for Verification and Public Disclosure of Material Information by Securities Listed on the Taipei Exchange' requiring further announcement.

FACT BOX

  • Source: PR Times
  • Category: News