Disclosure Date: 1150707 Statement Date: 1150706 Statement Time: 113648 Company Code: 3583 Company Name: Hsin Yun Subject: Announcement of Banks for Receiving Subscription Payments and Dedicated Storage Accounts for the Company's Third and Fourth Domestic Unsecured Convertible Bonds Applicable Clause: Item 51 Event Date: 1150703
Details: 1. Event Date: 07/03/115 2. Company Name: Hsin Yun Enterprise Co., Ltd. 3. Relationship with Company: Own Company 4. Cross-shareholding Ratio: Not Applicable 5. Reason for Announcement: In accordance with Article 9, Paragraph 1, Clause 2 of the 'Regulations Governing the Offering and Issuance of Securities by Issuers,' this announcement discloses the banks designated for receiving subscription payments and managing dedicated storage accounts for the company's third and fourth domestic unsecured convertible bonds. 6. Response Measures: None 7. Other Matters to be Disclosed: (1) Contract Date: 07/03/115 (2) Banks for Receiving Subscription Payments: - Third Domestic Unsecured Convertible Bond: Yuanta Bank, Nanjing East Road Branch - Fourth Domestic Unsecured Convertible Bond: Hua Nan Bank, Nanjing East Road Branch (3) Banks Managing Dedicated Storage Accounts: - Third Domestic Unsecured Convertible Bond: CTBC Bank, Chengde Branch - Fourth Domestic Unsecured Convertible Bond: CTBC Bank, Chengde Branch
FACT BOX
- Source: PR Times
- Category: Funding
- Dates in source: 115/07/03 / 115/07/06