KOSDAQ Series 7 private placement convertible bond (bearer, unsecured)
Conversion exercise period 2027-06-04 to 2029-05-04
Terms & Documentation
Terms
BTC strategy
No
Ranking
Unsecured
Settlement
Shares
Payment frequency
Quarterly
Payment dates
Mar 04, Jun 04, Sep 04, Dec 04
Rate type
Fixed
Put provision
Holders may request early redemption at 100% of face value from 1 year after issuance (Jun 4, 2027), quarterly thereafter through Mar 4, 2029 (8 windows). Early redemption yield: 0%.
Use of proceeds
Debt repayment of 2nd convertible bond (KRW 1B) and operating funds (KRW 500M)