Correction of Payment Schedule for Self-Convertible Bond Sale
- Company corrects disclosure regarding resale of all 3.5 billion won (face value) of its 9th series unregistered private convertible bonds acquired in 2024
- Total sale amount is 3.898 billion won (contract deposit 0.2B, first interim 1B, second interim 1B, balance 1.698B) with delayed payment schedule
- Previous schedule: 1st interim 2026-05-06, 2nd interim 2026-05-13, balance 2026-05-20 → Revised: 1st interim 2026-07-15, 2nd interim 2026-07-22, balance 2026-07-29
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KOSDAQ Filing Information
- Filing: [Correction of Description] Report on Major Matters (Decision on Sale of Self-Convertible Bonds)
- Company: THE CODI (224060)
- Submission: THE CODI Co., LTD.
- Receipt: 05-06-2026