Release Date: 1150731 Statement Date: 1150730 Statement Time: 171506 Company Code: 3583 Company Name: Hsin Yun Main Point: Announcement of full receipt of proceeds from the company's third domestic unsecured convertible bond issuance Applicable Clause: Clause 51 Factual Date: 1150730 Details: 1. Factual Date: 115/07/30 2. Company Name: Hsin Yun Enterprise Co., Ltd. 3. Relationship with Company (enter '本公司' or 'Subsidiary'):本公司 4. Mutual Shareholding Ratio: Not applicable 5. Reason for Occurrence: Conducted in accordance with Article 9, Paragraph 1, Item 2 of the 'Regulations Governing the Offering and Issuance of Securities by Issuers'. The designated bank for collecting bond proceeds has fully received all subscription payments for Hsin Yun's third domestic unsecured convertible bond issuance as of the announcement date and transferred the total amount of NT$535,000,000 to the designated escrow account. This is hereby officially announced. 6. Countermeasures: None 7. Other Matters to be Disclosed (if the subject of the event or resolution is a publicly issued company or above, this significant information also complies with Article 7, Paragraph 9, Item 9 of the Enforcement Rules of the Securities and Exchange Act, regarding matters having a significant impact on shareholders' rights or securities prices): None

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  • Source: PR Times
  • Category: Funding