1. Issuer: WW Holding Inc.
2. Bond name: WW Holding Inc. 1st Secured Convertible Bond
(1) Code: 84421
(2) Issue amount: TWD 300 Million
(3) Issue price: 105.71% (TWD 105.71)
(4) Issue date: August 19, 2022
(5) Maturity date: August 19, 2025
(6) Tenor: 3 years
(7) Coupon rate: 0%
3. For the full terms and conditions of the Bond, please refer to the legal documentation as can be found on the website of Market Observation Post System (https://mops.twse.com.tw/mops/web/index).
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