Announcement on the redemption of bonds issued during WNC's 3rd issuance of unsecured convertible corporate bonds (code: 62853); OTC trading closes March 28, 2024

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2024-02-05

Announcement on the redemption of bonds issued during WNC's 3rd issuance of unsecured convertible corporate bonds (code: 62853); OTC trading closes March 28, 2024

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Company code: 6285
No: 1
Subject: Announcement on the redemption of bonds issued during WNC's 3rd issuance of unsecured convertible corporate bonds (code: 62853); OTC trading closes March 28, 2024
To which item it meets--article 4 paragraph xx: 51
Date of events: 2024/02/05
Contents:

  • Cause (please enter 「Early redemption」or「Maturity date falls within closure period of conversion」: Early redemption
  • Provisions of issuance and conversion terms: Redemption will be conducted in accordance with Article 18 of WNC's Regulations Governing the Issuance and Conversion of Bonds Issued During the Third Issuance of Domestic Unsecured Convertible Corporate Bonds.
  • Bond early redemption date/ maturity date: 2024/03/27
  • Closure period of conversion: N/A
  • Bond (early) redemption price (% of par value): 100% of par value
  • Stockholder affairs agency: WNC Shareholder Service Office (Address: No. 158, Xingshan Rd., Neihu Dist., Taipei, 11469, Taiwan; Tel.:02-6667998)
  • Deadline for applying the conversion of the debt voucher: 2024/03/29
  • Any other matters that need to be specified: If bond holders do not convert their bonds to stock before March 29, 2024, the bonds will be redeemed at 100% of par value.