Information on Treatment of Rights
Adjustments to Purchase (Sale) Prices based on Auctions
Issues carrying out allotments at the end of June 2026 (1 issue)
| Issue | Code | Trading Unit (Shares per Lot) |
Allotment Ratio | Rights Treatment Price (JPY)* |
|---|---|---|---|---|
| Loadstar Capital K.K. | 3482 | 100 | 0.2 common shares per common share |
Issues carrying out allotments on June 25, 2026 (1 issue)
| Issue | Code | Trading Unit (Shares per Lot) |
Allotment Ratio | Rights Treatment Price (JPY)* |
|---|---|---|---|---|
| CHIIKISHINBUNSHA CO.,LTD. | 2164 | 100 | 1:1.8 |
(This system is used when subscription warrants are granted or new shares are to be allotted by a stock split in non-integral multiples of the trading unit.)
- Rights treatment prices are published when they are fixed after the auction that takes place on the ex-rights date.
For an overview on the treatment of rights in standardized margin trading, see the page below.