Debt - Change of Terms::Notice Regarding Adjustment of Conversion Price for Zero Coupon Convertible Bonds due 2018 and 2021
Issuer & Securities
Issuer/ Manager
TEIJIN LIMITED
Securities
TEIJINJPY20BCB181212 - XS1142231312 - 22IB
TEIJINJPY20BCB211210 - XS1142234506 - 22JB
Stapled Security
No
Announcement Details
Announcement Title
Debt - Change of Terms
Date &Time of Broadcast
02-Nov-2017 15:20:33
Status
New
Announcement Sub Title
Notice Regarding Adjustment of Conversion Price for Zero Coupon Convertible Bonds due 2018 and 2021
Announcement Reference
SG171102OTHRXTE7
Submitted By (Co./ Ind. Name)
Yoshiki Kaieda
Designation
General Manager, Finance and Investor Relations Department
Description (Please provide a detailed description of the change in the box below)
Adjustment of Conversion Price pursuant to Condition 5.2.4 of the terms and conditions of the 2018 Bonds and the 2021 Bonds due to the Extraordinary Dividend (as defined in such Condition 5.2.4) resulting from payment of a dividend of 30 Yen per Share. The payment of such dividend was approved at the board of directors of the Company on 2 November 2017.
Additional Details
Asset Class
Convertible Bonds
Attachments
Adjustment of Conversion Price for Bonds due 2018 and 2021_20171102.pdf
Total size =10K
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