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Bond
Code
Bond
Name
Issuer Issuing
Date
Maturity
Date
Currency
Denomi-
nation
Amount
of Issuance
Coupon
(%)
Product Type Linked
underlying
risk Type
Early
redemption
conditions
Securities
Underwriter
or Financial
Consulting
Company
Liquidity
Provider
ISIN Bond
Database
F01239 S24CTBC16 CTBC BANK CO., LTD. 2024
04/01
2025
04/08
USD 200,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012398  Link
F14404 S24SCSB1 THE SHANGHAI COMMERCIAL & SAVINGS BANK, LTD. 2024
03/27
2026
03/27
USD 10,750,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Shanghai Bank TW000F144043  Link
F01237 S24CTBC14 CTBC BANK CO., LTD. 2024
03/20
2025
03/26
USD 350,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank  Link
F01238 S24CTBC15 CTBC BANK CO., LTD. 2024
03/20
2024
06/26
USD 300,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012380  Link
F01236 S24CTBC13 CTBC BANK CO., LTD. 2024
03/18
2024
12/24
USD 300,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank  Link
F01235 S24CTBC12 CTBC BANK CO., LTD. 2024
03/11
2024
07/17
USD 300,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012356  Link
F01234 S24CTBC11 CTBC BANK CO., LTD. 2024
03/06
2025
02/12
USD 300,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012349  Link
F01233 S24CTBC10 CTBC BANK CO., LTD. 2024
03/04
2025
03/10
USD 300,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012331  Link
F01231 S24CTBC8 CTBC BANK CO., LTD. 2024
02/20
2025
02/26
USD 350,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012315  Link
F04611 S24MEGA1 Mega International Commercial Bank Co., Ltd. 2024
01/30
2029
01/30
USD 9,550,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Mega Bank TW000F046115  Link
F01229 S24CTBC6 CTBC BANK CO., LTD. 2024
01/29
2025
02/06
USD 350,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank TW000F012299  Link
F01224 S24CTBC1 CTBC BANK CO., LTD. 2024
01/11
2025
01/17
USD 750,000 Structured Yield Enhancement Equities Underlying price meet early redemption level sell the bond itself Chinatrust Bank  Link
F05009 S23FCB1 FIRST COMMERCIAL BANK 2023
12/22
2025
06/22
USD 17,300,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself First Bank TW000F050091  Link
F05010 S23FCB2 FIRST COMMERCIAL BANK 2023
12/22
2028
12/22
USD 20,300,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself First Bank TW000F050109  Link
F14403 S23SCSB2 THE SHANGHAI COMMERCIAL & SAVINGS BANK, LTD. 2023
11/01
2026
11/01
USD 6,400,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Shanghai Bank TW000F144035  Link
F07406 S23TCB2B TAIWAN COOPERATIVE BANK 2023
10/05
2028
10/05
USD 16,600,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Cooperative Bank TW000F074067  Link
F07405 S23TCB2A TAIWAN COOPERATIVE BANK 2023
10/05
2025
10/05
USD 29,250,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Cooperative Bank TW000F074059  Link
F02817 S23ESUN3 E.SUN COMMERCIAL BANK,LTD. 2023
08/18
2026
08/18
USD 9,100,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself E.SUN Bank TW000F028170  Link
F02816 S23ESUN2 E.SUN COMMERCIAL BANK,LTD. 2023
07/28
2026
07/28
USD 19,600,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself E.SUN Bank TW000F028162  Link
F07403 S23TCB1A TAIWAN COOPERATIVE BANK 2023
03/10
2025
03/10
USD 32,800,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Cooperative Bank TW000F074034  Link
F07404 S23TCB1B TAIWAN COOPERATIVE BANK 2023
03/10
2028
03/10
USD 14,050,000 Structured Principal Protection Interest rates Issuer call right after specific date sell the bond itself Cooperative Bank TW000F074042  Link
F05008 S22FCB2 FIRST COMMERCIAL BANK 2022
08/22
2027
08/22
USD 19,700,000 Structured Principal Protection Interest rates Issuer call right after specific date First Bank
sell the bond itself
First Bank TW000F050083  Link
F04610 S22MEGA2 Mega International Commercial Bank Co., Ltd. 2022
07/05
2027
07/05
USD 6,500,000 Structured Principal Protection Interest rates Issuer call right after specific date Mega Bank
sell the bond itself
Mega Bank TW000F046107  Link
F01211 S21CTBC2 CTBC BANK CO., LTD. 2021
08/30
2026
08/30
USD 2,650,000 Structured Principal Protection Interest rates Issuer call right after specific date Chinatrust Bank
sell the bond itself
Chinatrust Bank TW000F012117  Link
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