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YeaShin International Development Co Ltd (5213.TWO)

5213.TWO on Gre Tai Securities Market of Chinese Taipei

15.00TWD
19 Sep 2017
Change (% chg)

NT$-0.20 (-1.32%)
Prev Close
NT$15.20
Open
NT$15.15
Day's High
NT$15.15
Day's Low
NT$14.75
Volume
850
Avg. Vol
294,163
52-wk High
NT$15.70
52-wk Low
NT$12.45

Latest Key Developments (Source: Significant Developments)

YeaShin International Development unit scraps plan to sell H.K.Muland Investment Holding
Tuesday, 12 Sep 2017 03:15am EDT 

Sept 12 (Reuters) - YeaShin International Development Co Ltd <5213.TWO> ::* Says co's unit B.V.I.Muland Development Inc scraped plan to sell 100 percent stake in its unit H.K.Muland Investment Holding Limited.* Original announcement was published on April 14.  Full Article

YeaShin International Development raises conversion price of 6th series domestic secured convertible corporate bonds
Friday, 1 Sep 2017 04:51am EDT 

Sept 1(Reuters) - YeaShin International Development Co Ltd <5213.TWO> ::* Says it raises conversion price of 6th series domestic secured convertible corporate bonds to T$13.29, effective since Sept. 1.  Full Article

YeaShin International Development adjusts conversion price of 6th series domestic secured convertible corporate bonds
Wednesday, 23 Aug 2017 05:40am EDT 

Aug 23 (Reuters) - YeaShin International Development Co Ltd <5213.TWO> ::* Says it adjusts conversion price of 6th and 6th series domestic secured convertible corporate bonds to T$14.40, effective since Sept. 1.  Full Article

YeaShin International Development adjusts conversion price of 6th series domestic secured convertible corporate bonds
Friday, 7 Jul 2017 03:38am EDT 

July 7 (Reuters) - YeaShin International Development Co Ltd <5213.TWO> ::* Says it adjusts conversion price of 6th and 6th series domestic secured convertible corporate bonds to T$12.96 from T$13.45, effective from July 29.  Full Article

YeaShin International Development unit to sell unit at HK$162.5 mln
Friday, 14 Apr 2017 04:55am EDT 

YeaShin International Development Co Ltd <5213.TWO> :Says co's unit B.V.I.Muland Development Inc plans to sell 100 percent stake in its unit H.K.Muland Investment Holding Limited, with transaction amount of HK$162.5 million (about T$633.7 million).  Full Article

YeaShin International Development sets coupon rate for 2017 1st series corporate bonds at 0.89 pct
Wednesday, 5 Apr 2017 03:56am EDT 

YeaShin International Development Co Ltd <5213.TWO> :Says it sets annual coupon rate for 2017 first series 3-yr secured corporate bonds worth T$500 million, at 0.89 percent.  Full Article

Provision Information to pay cash dividend of T$1.7 per share for 2016
Friday, 24 Mar 2017 04:07am EDT 

Provision Information Co Ltd <6590.TWO>:Says it will pay cash dividend of T$1.7 per share for 2016.  Full Article

YeaShin International Development to issue 2017 1st series secured corporate bonds of T$500 mln
Wednesday, 22 Mar 2017 08:30am EDT 

YeaShin International Development Co Ltd <5213.TWO>: Says it will issue the 2017 1st series secured corporate bonds, worth T$500 million . Says par value and issue price of T$1 million for the bonds . Maturity period of three years and coupon rate of 1 percent for the bonds .Proceeds to be used for bank loan repayment.  Full Article

YeaShin International Development adjusts conversion price of 5th and 6th series domestic secured convertible corporate bonds
Thursday, 30 Jun 2016 11:15am EDT 

YeaShin International Development <5213.TWO>: Says it adjusts conversion price of 5th series domestic secured convertible corporate bonds to T$17.94 from T$19.61 . Says it adjusts conversion price of 6th and 6th series domestic secured convertible corporate bonds to T$13.45 from T$14.7 .Says effective from July 20.  Full Article

YeaShin International Development to pay 2015 dividend on Aug. 10
Thursday, 16 Jun 2016 06:19am EDT 

YeaShin International Development <5213.TWO>: Says it will pay cash dividend of T$1.2 per share (T$456,108,449 in total) for 2015 . Says ex-dividend date July 14 . Last date before book closure July 15 with book closure period from July 16 to July 20 . Record date July 20 .Payment date Aug. 10.  Full Article