ADJUSTMENT OF LINK REIT STRUCTURED PRODUCTS, FUTURES AND OPTIONS
Corporate action overview
Company (Stock Code) | Link REIT(823) |
Corporate Action
| 1 rights unit for every 5 existing units held
|
Ex-date
| 24 February 2023
|
Please refer to the announcement made by Link REIT on 10 February for details.
Investors should consult their brokers for further details, or if they have any questions regarding the adjustment.
Structured products with units of Link REIT as underlying asset
The listing documents of all existing structured products with the units of Link REIT as underlying asset contain provisions that deal with a rights issue. Structured product issuers will make announcements in the evening of 23 February 2023 regarding the relevant adjustments (including the adjusted entitlement and adjusted exercise price, where appropriate). Investors should read the contents of such announcements on the relevant adjustments.
Adjustments of Link REIT Futures and Options
For detailed trading, clearing and settlement arrangements of Link REIT Futures and Options after adjustments, please refer to the circular posted on HKEX website.
Investors should note that the adjusted and standard stock futures and options will have different contract sizes. There will not be any changes to the number of open positions and other contract terms after the transfer of positions.
First, please LoginComment After ~