Capital Increase / Dilution2026-08-20

IMT to issue Convertible Bonds

IMT

아이엠티

451220

-0.45

Signal Score

50CNeutral
Score50 / 100

Historical Avg Return (5d)

+0.00%

Data Coverage

100%n=2767

Risk-adjusted indicator based on 2767 historical DART filings. For informational purposes only — not investment advice.

Financial Impact

NEGATIVE

Key Numbers

  • • Surface Interest Rate: 0.0%
  • • Maturity Interest Rate: 0.0%
  • • Call Option Premium: 0.5% annually
  • • Put Option Exercise Date: February 28, 2029 (2.5 years from issuance)

AI Analysis Summary

IMT Co., Ltd. has decided to issue convertible bonds with a 0.0% surface and maturity interest rate. The bonds include a put option exercisable from February 28, 2029, and a call option for the company from August 28, 2027, with an annual premium of 0.5%. The issuance involves multiple private equity funds. While the exact issuance amount and conversion price are not disclosed in this report, the issuance of convertible bonds typically implies potential future dilution for existing shareholders, hence a negative financial impact.

How This Event Is Evaluated

Capital Raise Evaluation

Capital raise events are evaluated by estimating dilution pressure, funding purpose, pricing terms, and impact on existing shareholders.

AI is used to interpret disclosures and extract structured data.

Signal scores are generated using event-specific methodologies and quantitative models.

  • Potential dilution rate
  • Issuance or conversion price
  • Funding purpose
  • Shareholder value impact
Read our full scoring methodology →

This content is for informational purposes only and does not constitute investment advice. Past signal patterns do not guarantee future results. All data is sourced from public DART filings.

AI-processed analysis. Based on: 주요사항보고서(전환사채권발행결정). Source: Financial Supervisory Service (금융감독원 전자공시시스템). Raw government data is not redistributed. Not investment advice.