GreenFILTEC Convertible/Exchangeable Bond Information

Series Number�G 1 Tranche Number�G Offering Type�GPublic Offering by Commissioned Underwriter
Application Date�G2023/04/21 Approval Date�G2023/05/10
Issue Date�G2023/06/01 Tenor�G3 Year(s) and 0 Month(s)
Maturity Date�G2026/06/01 TPEx Delisting Date�G 
Date of Corporate Authorization Obtained for the Issuance of Private Placement�G 
Listing Status�GTPEx-Listed Issuing / Listing Country�GTaiwan
Listing Date�G2023/06/01 Currency�GNTD�@Exchange Rate on Issue Date�G 1.0000
Bond Code�G68231 Short Name�G�o��@
Bond Name�GGREENFILTEC LTD. 1st Unsecured Convertible Bond Issuer Type�GDomestic Issuer
Date of Current Price Reset�G  Date of Next Price Reset�G 
CFI Code�GDCZUDR ISIN Code�GTW0006823107
Application Amount�G$ 250,000,000
Actual Issue Amount�G$ 250,000,000
Total Units of Conversion/Exchange Application in Current Month�G 0 Units
Number of Shares Converted to/Exchanged for Bond Conversion Entitlement Certificates�G 0 Shares
Number of Shares Converted to/Exchanged for Common Stocks (Registration Unchanged)�G 0 Shares
Principal Repayment in Current Month�G$ 0
Units of Buyback (Cancellation) in Current Month�G 0 Units
Units of Exercised Put Option in Current Month�G 0 Units
Outstanding Amount at Current Month End�G$ 250,000,000
Principal Repaid on Schedule? Description�G
Default Amount�G 0�@Result�G
Denomination�G$ 100,000 Volume�G 2,500 Units
Issue Price�G$ 100(Price expressed in per-hundred basis. Price in per-hundred basis = Issue Price/ Face Value *100)
Coupon Rate�G 0.000000% Record Date of Bond Interest�G0000
Conversion/Exchange Price at Issuance�G$ 90 Conversion Premium Ratio�G105.1000 %
Conversion/Exchange Period�G2023/09/02��2026/06/01 Conversion/Exchange Rate�G 1
Latest Conversion/Exchange Price�G$ 83.2000 Latest Effective Date for Conversion/Exchange Price�G2023/07/30
Interest Rate Schedule�G
Guarantee�G
Principal Repayment Description�G Principal Repaid in a Lump Sum at Maturity
Put Option Provisions�G
Yield to Put Option�G1.0000%
Call Option Provisions�G
Yield to Call Option�G0.0000%
Next Exercise Date of Put Option�G2025/06/01 Next Strike Price of Put Option�G 102.0100%
Underwriter9A0T SinoPac Securities
Trustee�G Certification Agency�G
Transfer Agent�G Credit Rating�G
Date of Outstanding Amount Change in Current Month�G 
Reason for Outstanding Change in Current Month�G
Restrictive Clauses�G
Remarks�G
Target Investor�G
Terms and Conditions�G6823_1120529_153302.pdf


Cash Flow Statement for Principal Repayments and Interest Payments

Time(s)DatePrincipal RepaymentInterest Payment Strike Price of Put OptionYield to Put Option
1 2025/06/01 0 0 102.0100 1%
2 2026/06/01 250,000,000 0 0 0%
Total  250,000,000 0 102.0100 1%