| Issuer / Guarantor | Winbond Electronics Corp |
|---|---|
| Size | USD 750mn |
| Type | Convertible |
| Leads | Citigroup, UBS |
| Maturity | 31 Mar 2027 (1 years) |
| Coupon | 0% (0%) |
| Premium | 10% (7.5 - 10%) |
| Calls | @ 100% from Jun 2026 (0.2 yrs); 120% trigger |
| Puts | t/o @ 100% |
| Div protection | Ratio adjustment (Full) |
| T/o protection | None |
| CoCo | None |
| Announced | 24 Mar 2026 |