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  • [Disclosure] ISU PETASYS(007660) – Investor Relations (IR) Holding Announcement / 2025-05-09 Semiconductors
  • [Disclosure] SK Hynix (000660 / SKHY) – Investor Relations (IR) Event (Informational Disclosure) / 2024-10-10 Semiconductors
  • [Disclosure] Hyundai Motor (005380) – Investor Relations (IR) Holding / 2024-02-29 Disclosures
  • [Disclosure] SK Hynix (000660 / SKHY) – Decision on Cash / Property Dividend / 2024-04-24 Semiconductors
  • [Disclosure] Hyundai Motor (005380) – Investor Relations (IR) Holding (Notice) / 2025-04-17 Disclosures
  • [Disclosure] Celltrion (068270) – Additional Listing (Exercise of Stock Options) / 2025-02-10 Disclosures
  • [Disclosure] KEPCO (015760 / KEP) – (Correction) Results of Extraordinary General Meeting of Shareholders / 2025-01-07 Disclosures
  • [Disclosure] Hanwha Aerospace (012450) – Final Issue Price for Rights Issue / 2025-06-27 Disclosures

[Disclosure] Jeju Semiconductor (080220) – Securities Issuance Results (Voluntary Disclosure) / 2025-02-26

Posted on February 26, 2025August 3, 2026 By K-STOCK Editor

Fact Source: Financial Supervisory Service DART

💡 3-Second Summary

Jeju Semiconductor has disclosed the actual issuance amount and payment date for its 8th series private placement convertible bonds (CB) worth KRW 6 billion, originally resolved by the board on February 20, 2025.

📊 [Key Disclosure Contents & Summary of Major Figures]

  1. Issuance Overview
  • Type of Securities: 8th Bearer Non-interest Bearing Unsecured Private Convertible Bonds
  • Issuance Method: Domestic Private Placement Convertible Bonds
  • Scheduled Listing Status: Unlisted (No)
  1. Issuance & Payment Details
  • Initial Board Resolution Date: 2025-02-20
  • Planned Issuance Amount: KRW 6B (KRW 6,000,000,000)
  • Actual Issued Amount: KRW 6B (KRW 6,000,000,000)
  • Actual Payment Date: 2025-02-26
  • Number of (Planned) Issued Shares: N/A (-)

📝 Editor’s Comment (Key Follow-up Checkpoint)

📌 Verification of Actual Issuance Amount and Payment Date for Convertible Bonds

This voluntary disclosure provides information regarding the actual issuance amount and payment date for the 8th series private convertible bonds following the initial board resolution. Checking the disclosed figures for the actual issuance amount and payment date is important to verify whether the issuance terms match the values originally resolved by the board. Detailed status and related transaction terms can be verified in future periodic disclosures (Quarterly/Half-Yearly/Annual Reports) or relevant follow-up regulatory filings.

📢 Disclaimer and Source Notice

Fact Source: Financial Supervisory Service DART

Investment Risk Warning: This content is provided solely for informational and linguistic reference purposes. Under no circumstances does it constitute financial advice or a recommendation to buy or sell any security. All investment decisions and financial liabilities rest entirely with the individual investor.

Contact: For compliance inquiries or copyright requests, please contact ksb220805@gmail.com.

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