31 Jul 2020 11:22
Subject: Conversion Price Adjustment of the Unsecured Overseas Convertible Bonds Due 2022
Date of events: 2020/07/31
Contents:
1.Date of occurrence of the event:2020/07/31
2.Company name:HON HAI PRECISION IND. CO., LTD.
3.Relationship to the Company (please enter "head office" or "subsidiaries"): Head Office
4.Cause of occurrence:
The Company has declared dividends distribution by cash and the conversion price for the bonds shall be adjusted accordingly.
5.Countermeasures:
Unsecured Overseas Convertible Bonds Due 2022 shall be adjusted from NT$165.454 to NT$157.135 per common share. The effective date of the adjustment is JUL 31, 2020.