Headline:

Security Symbol:

Settlement Price and Net Cash Settlement of 36 Derivative warrants issued by JPM

ADVA41C2206A, AMAT41C2206A, AOT41P2206A, BBL41C2206A, BCH41C2206A, CPN41C2206A, DTAC41C2206A, GLOB41C2206A, GPSC41C2206A, GULF41C2206A, GULF41P2206A, HANA41C2206A, IRPC41C2206A, IVL41C2206A, JMAR41C2206A, JMT41C2206A, KBAN41P2206A, KCE41C2206A, KEX41C2206A, KTC41C2206A, MEGA41C2206A, MTC41C2206A, PTTE41C2206A, PTTE41P2206A, PTTG41C2206A, RS41C2206A, SCC41C2206A, SCGP41C2206A, SPRC41C2206A, STA41C2206A, STEC41C2206A, TIDL41C2206A, TRUE41C2206A, TTB41C2206A, TU41C2206A, WHA41C2206A

Announcement Details

Subject

Settlement Price and Net Cash Settlement

Data as of

02-Jun-2022

Maturity date

08-Jun-2022

Expense of exercise (Baht)

0.00

DW Symbol

Conversion ratio per

Underlying asset price

Exercise price (Baht)

Net cash settlement

unit

(Baht)

amount (Baht)

ADVA41C2206A

0.02545

217.00

250.495

0.00

AMAT41C2206A

0.25341

19.70

24.664

0.00

AOT41P2206A

0.14286

69.25

52.50

0.00

BBL41C2206A

0.07276

129.50

159.044

0.00

BCH41C2206A

0.26263

19.90

23.798

0.00

CPN41C2206A

0.10107

63.00

59.363

0.36759

DTAC41C2206A

0.09977

45.00

52.806

0.00

GLOB41C2206A

0.26406

21.30

21.302

0.00

GPSC41C2206A

0.11260

67.25

88.808

0.00

GULF41C2206A

0.20176

47.75

54.521

0.00

GULF41P2206A

0.14412

47.75

42.13

0.00

HANA41C2206A

0.09290

47.00

101.286

0.00

IRPC41C2206A

1.59515

3.46

4.687

0.00

IVL41C2206A

0.11264

49.75

59.18

0.00

JMAR41C2206A

0.09248

59.00

72.494

0.00

JMT41C2206A

0.09138

76.00

85.562

0.00

KBAN41P2206A

0.05817

146.50

122.789

0.00

KCE41C2206A

0.10159

65.75

103.353

0.00

KEX41C2206A

0.21739

23.20

28.00

0.00

KTC41C2206A

0.11303

61.75

80.61

0.00

MEGA41C2206A

0.08509

50.50

58.757

0.00

MTC41C2206A

0.09164

49.00

64.483

0.00

PTTE41C2206A

0.06820

166.50

146.629

1.3552

PTTE41P2206A

0.06017

166.50

102.64

0.00

PTTG41C2206A

0.10329

48.25

67.773

0.00

RS41C2206A

0.24006

15.90

26.463

0.00

SCC41C2206A

0.03803

369.00

433.381

0.00

SCGP41C2206A

0.13422

57.25

75.493

0.00

SPRC41C2206A

0.51029

12.50

11.758

0.37864

STA41C2206A

0.11390

25.00

38.043

0.00

STEC41C2206A

0.25475

13.30

17.664

0.00

TIDL41C2206A

0.10846

33.25

40.105

0.00

TRUE41C2206A

1.26789

4.56

5.62

0.00

TTB41C2206A

2.94950

1.24

1.666

0.00

TU41C2206A

0.25676

17.50

22.882

0.00

WHA41C2206A

1.36409

3.22

4.154

0.00

Remark

  1. Net Cash Settlement Amount = Cash Settlement Amount - Exercise Expense Charged by Issuer By; In case of Call Warrant and Underlying Asset is Stock :
    Cash Settlement Amount = (Settlement Price - Exercise Price) X Exercise Ratio In case of Put Warrant and Underlying Asset is Stock :
    Cash Settlement Amount = (Exercise Price - Settlement Price) X Exercise Ratio In case of Call Warrant and Underlying Asset is Index :
    Cash Settlement Amount = (Settlement Price - Exercise Price) X Multiplier In case of Put Warrant and Underlying Asset is Index :
    Cash Settlement Amount = (Exercise Price - Settlement Price) X Multiplier In case of Call Warrant and Underlying Asset is Foreign Stock :
    Cash Settlement Amount = (Settlement Price - Exercise Price) X Exercise Ratio X Exchange rate In case of Put Warrant and Underlying Asset is Foreign Stock :
    Cash Settlement Amount = (Exercise Price - Settlement Price) X Exercise Ratio X Exchange rate In case of Call Warrant and Underlying Asset is Foreign Index :
    Cash Settlement Amount = (Settlement Price - Exercise Price) X Multiplier X Exchange rate In case of Put Warrant and Underlying Asset is Foreign Index :
    Cash Settlement Amount = (Exercise Price - Settlement Price) X Multiplier X Exchange rate
  2. Any Derivative Warrant (DW) will automatically be exercised if the Net Cash Settlement Amount on the Automatic Exercise Date is greater than zero (without notice being given to the Holders). The Issuer will pay to the Holders the Net Cash Settlement Amount (if any) with procedure defined in Terms and Condition.
  3. The Holders can deny the exercise of DW by informing their broker in accordance with procedures stipulated by their broker.

Signature ________________________________

(Mr.Tosapol Kerdphol )

Assistant Director of Listed Structured Products Authorized Persons to Disclose Information

This announcement was prepared and disseminated by listed company or issuer through the electronic system which is provided for the purpose of dissemination of the information and related documents of listed company or issuer to the Stock Exchange of Thailand only. The Stock Exchange of Thailand has no responsibility for the correctness and completeness of any statements, figures, reports or opinions contained in this announcement, and has no liability for any losses and damages in any cases. In case you have any inquiries or clarification regarding this announcement, please directly contact listed company or issuer who made this announcement.

Attachments

  • Original Link
  • Original Document
  • Permalink

Disclaimer

PTT Global Chemical pcl published this content on 02 June 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 02 June 2022 12:31:06 UTC.