{"id":30455,"date":"2026-02-20T15:59:00","date_gmt":"2026-02-20T06:59:00","guid":{"rendered":"https:\/\/japanir.jp\/en\/ir\/6136-20260220-01_wp_capital_policy\/"},"modified":"2026-02-20T15:59:00","modified_gmt":"2026-02-20T06:59:00","slug":"6136-20260220-01_wp_capital_policy","status":"publish","type":"ir_release","link":"https:\/\/japanir.jp\/en\/company\/company-6136\/ir\/6136-20260220-01_wp_capital_policy\/","title":{"rendered":"Notice Regarding Adjustment of Conversion Price for 2030 Maturity Euro-Yen Convertible Bonds with Acquisition Clause and Warrants"},"content":{"rendered":"<p>Adjusted the conversion price of the 2030 maturity Euro-Yen convertible bonds with acquisition clause from 2,096.0 yen to 2,069.4 yen. The effective date is December 1, 2025. Dividends were decided at 60 yen per share for the year-end and 88 yen annually.<\/p>\n","protected":false},"comment_status":"open","ping_status":"closed","template":"","meta":{"Ticker":"","DATE":"","longName":"","company_name_ja":"","fullTimeEmployees":0,"address":"","phone":"","website":"","industry":"","sector":"","regularMarketPrice":0,"financialCurrency":"","marketCap":0,"fiftyTwoWeekLow":0,"fiftyTwoWeekHigh":0,"epsTrailingTwelveMonths":0,"epsForward":0,"bookValue":0,"totalRevenue":0,"OperatingIncome":0,"operatingMargins":0,"NetIncome":0,"profitMargins":0,"ebitda":0,"trailingPE":0,"forwardPE":0,"priceToBook":0,"returnOnEquity":0,"recommendationMean":0,"recommendationKey":"","targetMeanPrice":0,"numberOfAnalystOpinions":0,"analyst_earnings_data":"","dividendRate":0,"dividendYield":0,"payoutRatio":0,"totalEsg":0,"environmentScore":0,"socialScore":0,"governanceScore":0,"title":"","providerPublishTime":"","link":"","longBusinessSummary":"","longBusinessSummary_ja":"","quarterly_revenue":0,"quarterly_net_income":0,"quarterly_operating_profit":0,"enterprise_value":0,"company_officer_1_name":"","company_officer_1_title":"","company_officer_2_name":"","company_officer_2_title":"","company_officer_3_name":"","company_officer_3_title":"","company_officer_4_name":"","company_officer_4_title":"","company_officer_5_name":"","company_officer_5_title":"","company_officers_update_time":"","get_dividend_history_year1":0,"get_dividend_history_year2":0,"get_dividend_history_year3":0,"get_dividend_history_year4":0,"get_dividend_history_year5":0,"get_dividend_history_year6":0,"get_dividend_history_year7":0,"get_dividend_history_year8":0,"get_dividend_history_year9":0,"get_dividend_history_year10":0,"site-sidebar-layout":"default","site-content-layout":"","ast-site-content-layout":"","site-content-style":"default","site-sidebar-style":"default","ast-global-header-display":"","ast-banner-title-visibility":"","ast-main-header-display":"","ast-hfb-above-header-display":"","ast-hfb-below-header-display":"","ast-hfb-mobile-header-display":"","site-post-title":"","ast-breadcrumbs-content":"","ast-featured-img":"","footer-sml-layout":"","theme-transparent-header-meta":"","adv-header-id-meta":"","stick-header-meta":"","header-above-stick-meta":"","header-main-stick-meta":"","header-below-stick-meta":"","astra-migrate-meta-layouts":"default","ast-page-background-enabled":"default","ast-page-background-meta":{"desktop":{"background-color":"var(--ast-global-color-5)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"tablet":{"background-color":"","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"mobile":{"background-color":"","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""}},"ast-content-background-meta":{"desktop":{"background-color":"var(--ast-global-color-4)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"tablet":{"background-color":"var(--ast-global-color-4)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"mobile":{"background-color":"var(--ast-global-color-4)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""}},"jir_stock_code":"6136","jir_company_name":"OSG Corporation","jir_importance":"\u2605\u2605\u2605\u2606\u2606","jir_publication_date":"2026-02-20","jir_source_link":"https:\/\/japanir.jp\/wp-content\/uploads\/2026\/02\/6136-20260220-01.pdf","jir_short_summary":"Adjusted the conversion price of the 2030 maturity Euro-Yen convertible bonds with acquisition clause from 2,096.0 yen to 2,069.4 yen. The effective date is December 1, 2025. Dividends were decided at 60 yen per share for the year-end and 88 yen annually.","jir_summary":"### Overview of Conversion Price Adjustment\nOSG Corporation has adjusted the conversion price of its 2030 maturity Euro-Yen convertible bonds with acquisition clause from 2,096.0 yen to 2,069.4 yen. This adjustment is implemented based on the conversion price adjustment clause in the bond terms, following the decision at the Annual General Meeting of Shareholders held on February 20, 2026, where the year-end dividend was set at 60 yen per share and the annual dividend at 88 yen. The effective date for this adjustment is on or after December 1, 2025.\n\n### Impact on Shareholders and Investors\nThe adjustment of the conversion price lowers the price for conversion of the convertible bonds, making it easier for bondholders to acquire shares upon exercise of conversion rights. However, this may raise concerns about dilution among existing shareholders. This adjustment is made in conjunction with the dividend decision and has been properly executed as part of the company's capital policy.","jir_financial_highlights":"Conversion Price: 2,069.4 yen (Decrease from 2,096.0 yen before adjustment)\nYear-end Dividend: 60 yen (Unknown)\nAnnual Dividend: 88 yen (Unknown)","jir_category":"","jir_hashtags":"#OSGCorporation, #CapitalPolicy, #ConvertibleBonds, #Dividend","jir_key_figures":"Pre-adjustment Conversion Price: 2,096.0 yen\nPost-adjustment Conversion Price: 2,069.4 yen\nYear-end Dividend: 60 yen (per share)\nAnnual Dividend: 88 yen (per share)\nEffective Date: On or after 2025-12-01","jir_meta_title":"OSG Corporation Adjusts Conversion Price of 2030 Maturity Convertible Bonds to 2,069.4 yen","jir_meta_description":"OSG Corporation has adjusted the conversion price of its 2030 maturity Euro-Yen convertible bonds with acquisition clause from 2,096.0 yen to 2,069.4 yen. The year-end dividend was set at 60 yen per share, with an annual dividend of 88 yen.","jir_og_title":"OSG Corporation Notice of Convertible Bond Conversion Price Adjustment","jir_og_description":"The conversion price of the 2030 maturity convertible bonds has been adjusted to 2,069.4 yen. Dividends were decided at 60 yen for the year-end and 88 yen annually.","jir_og_image_url":"\/assets\/og\/company-general_ir.jpg","jir_chart_data_collection":"[]","ir_related_company":8920,"ir_release_date":"","ir_type":"","ir_is_new":false,"ir_document_url":"","jir_ir_type":"capital_policy","footnotes":""},"sector":[],"importance":[],"class_list":["post-30455","ir_release","type-ir_release","status-publish","hentry"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v24.7 - https:\/\/yoast.com\/wordpress\/plugins\/seo\/ -->\n<title>Notice Regarding Adjustment of Conversion Price for 2030 Maturity Euro-Yen Convertible Bonds with Acquisition Clause and Warrants - Japan IR<\/title>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/japanir.jp\/en\/company\/company-6136\/ir\/6136-20260220-01_wp_capital_policy\/\" \/>\n<script type=\"application\/ld+json\" class=\"yoast-schema-graph\">{\"@context\":\"https:\/\/schema.org\",\"@graph\":[{\"@type\":\"WebPage\",\"@id\":\"https:\/\/japanir.jp\/en\/company\/company-6136\/ir\/6136-20260220-01_wp_capital_policy\/\",\"url\":\"https:\/\/japanir.jp\/en\/company\/company-6136\/ir\/6136-20260220-01_wp_capital_policy\/\",\"name\":\"Notice Regarding Adjustment of Conversion Price for 2030 Maturity Euro-Yen Convertible Bonds with Acquisition Clause and Warrants - 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