Series Number�G 109-3 Tranche Number�G |
Offering Method�GPublic Offering Without Underwriter |
Issue Date�G2020/12/23 |
Tenor�G10 Year(s) and 0 Month(s) |
Maturity Date�G2030/12/23 |
TPEx Delisting Date�G |
Listing Status�G
TPEx-Listed
|
Issuing / Listing Country�GTaiwan |
Listing Date�G2020/12/23 |
Currency�GNTD �@Exchange Rate on Issue Date�G 1.0000 |
Bond Code�GG11659 |
Short Name�GP09�s����3 |
Bond Name�GTaiwan Shin Kong Commercial Bank 3rd Subordinated Financial Debentures Issue in 2020
|
Issuer Type�GDomestic Issuer
|
CFI Code�GDBFUFR |
ISIN Code�GTW000G116594 |
Approval Number�G���ȱ�1090228036 |
Limit�G$ 5,000,000,000(A) |
Application Date�G2020/10/14 |
Approval Date�G2020/10/28 |
Expiration Date of Current Limit�G2021/10/28 |
Limit Used Prior to Issue�G$ 3,000,000,000(B) |
Limit Used of This Issue�G$ 2,000,000,000(C) Note�GA=B+C+D |
Limit Available After Issue�G$ 0(D) |
Coupon Rate�G
Fixed Interest Rate
0.750000% |
Date of Current Interest Rate Reset�G
Date of Next Interest Rate Reset�G |
Floating Rate Benchmark�G
Floating Spread(%)�G
Interest Basis�GSimple Interest
�@�@�@�@�@�@Annually Compound 1 Time(s) And Pay 1 Time(s) |
Interest Rate Schedule�G11302BOND_3_2893_0000008 |
Guarantee�G |
Denomination�G$ 10,000,000 |
Volume�G 200 Units |
Issue Price�G$ 100 (Price expressed in per-hundred basis. Price in per-hundred basis = Issue Price/ Face Value *100) |
Outstanding Amount at Current Month End�G$ 2,000,000,000 |
Date of Outstanding Change in Current Month�G2020/12/23 |
Reason for Outstanding Change in Current Month�G
�@�@Principal Repayment�G$ 0
�@�@Buyback or Early Redemption�G$ 0
�@�@Exercise of Put Option�G$ 0
�@�@Other�G |
Principal Repayment Description�G
Principal Repaid in a Lump Sum at Maturity
|
Agent for repayment of principal and payment of interest�G1030116 |
Whether The Bond is Sustainable Bond? No
Sustainable UoP Bond Projects�G
The deadline for public disclosure of the Post-issuance report�G
SLB important conditions�G
Whether the bond characteristics of SLB varied?�G
|
Restrictive Clauses�G |
Provisions�GNone |
Other Terms�G |
Bond Rating Agency�G
�@�@Bond Rating�G
�@�@Bond Rating Date�G
|
Issuer Rating Agency�GTaiwan Ratings
�@�@Issuer Rating�GtwA+
�@�@Issuer Rating Date�G2024/03/07
|
Guarantor Name�G
�@�@Guarantor Rating Agency�G
�@�@Guarantor Rating�G
�@�@Guarantor Rating Date�G
|
Underwriter/Financial Advisor�G592T Masterlink Securities |
Certification Agency�G |
Trustee�G |
Transfer Agent�G |
Private Placement Target Investor�G |
| |
Principal Repaid on Schedule?Yes Description�G
|
Terms and Conditions�G2893_1130308_131329.doc |
Default Amount�G
0�@Result�G
|