Release Date: July 9, 115 Statement Date: July 8, 115 Statement Time: 17:00:45 Company Code: 2317 Company Name: Hon Hai Subject: Adjustment of Conversion Price for the 113th Year Overseas First Unsecured Convertible Bonds Applicable Clause: Clause 51 Event Date: July 8, 115 Explanation: 1. Event Date: 7/8/115 2. Company Name: Hon Hai Precision Industry Co., Ltd. 3. Relationship with Company (Please enter '本公司' or 'Subsidiary'):本公司 4. Mutual Shareholding Ratio: Not applicable 5. Reason for Occurrence: According to the issuance regulations of the 113th Year Overseas First Unsecured Convertible Bonds, the conversion price will be adjusted. 6. Response Measures: The conversion price of the 113th Year Overseas First Unsecured Convertible Bonds will be adjusted from NT$288.86 to NT$281.09. 7. Other Matters to be Stated (If the subject of the event or resolution is a publicly issued company, this major information also meets Article 7, Paragraph 9 of the Enforcement Rules of the Securities and Exchange Act regarding matters having significant impact on shareholders' equity or securities prices): None
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- Source: PR Times
- Category: News