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Ratings and Bond Issues

Ratings

As of November 4, 2016
  Long-Term Bond
Japan Credit Rating Agency, Ltd. A-
Rating and Investment Information, Inc. A

Straight Bond Issues

  • Bonds highlighted in blue have matured.
As of April 30, 2015
Type Term Date Issued Maturity Date Coupon
Rate
(%)
Face Amount (Yen-billion)
42 Straight Bonds 5 Apr. 30, 2010 Apr. 30, 2015 3.50 10
41 Straight Bonds 6 Oct. 11, 2007 Oct. 11, 2013 2.74 20
1 U.S. Dollar
Straight Bonds
5 Jun. 13, 2007 Jun. 13, 2012 5.95 0.5 billion U.S. dollar
40 Straight Bonds 4 Apr. 19, 2007 Apr. 19, 2011 1.63 20
39 Straight Bonds 7 Mar. 23, 2007 Mar. 20, 2014 2.06 20
38 Straight Bonds 6 Feb. 16, 2007 Feb. 15, 2013 2.05 20
37 Straight Bonds 5 Dec. 19, 2006 Dec. 19, 2011 1.93 10
36 Straight Bonds 4 Dec. 19, 2006 Dec. 17, 2010 1.70 10
35 Straight Bonds 6 Nov. 28, 2005 Nov. 28, 2011 1.38 10
34 Straight Bonds 5 Apr. 20, 2005 Apr. 20, 2010 0.79 10
33 Straight Bonds 10 Apr. 21, 2004 Apr. 21, 2014 2.10 10
32 Straight Bonds 10 Jun. 04, 2003 Jun. 04, 2013 1.37 15
31 Straight Bonds(Retail) 4 Dec. 04, 2002 Dec. 04, 2006 1.00 10
30 Straight Bonds 8 Jul. 31, 2002 Jul. 30, 2010 2.29 10
29 Straight Bonds 7 Jun. 24, 2002 Jun. 24, 2009 2.05 10
28 Straight Bonds 5 May. 29, 2002 May. 29, 2007 1.47 10
27 Straight Bonds(Retail) 4 Dec. 11, 2001 Dec. 09, 2005 0.92 20
26 Straight Bonds 6 Oct. 23, 2001 Oct. 23, 2007 1.40 20
25 Straight Bonds 7 Sep. 26, 2001 Sep. 26, 2008 1.63 10
24 Straight Bonds(Retail) 5 Aug. 10, 2001 Aug. 10, 2006 1.20 15
23 Straight Bonds 7 Jun. 13, 2001 Jun. 13, 2008 1.74 10
22 Straight Bonds 5 Apr. 25, 2001 Apr. 25, 2006 1.70 10
21 Straight Bonds(Retail) 4 Feb. 01, 2001 Feb. 01, 2005 1.75 10
20 Straight Bonds 5 Nov. 21, 2000 Nov. 21, 2005 Floating rate note
(six-month yen LIBOR + 0.75%)
10
19 Straight Bonds 5 Oct. 06, 2000 Oct. 06, 2005 2.08 10
18 Straight Bonds 7 Jun. 14, 2000 Jun. 14, 2007 2.04 20
17 Straight Bonds 12 May. 31, 2000 Jun. 01, 2012 2.90 10
16 Straight Bonds 8 Apr. 26, 2000 Apr. 25, 2008 2.27 10
15 Straight Bonds 5 Mar. 22, 2000 Mar. 22, 2005 Floating rate note
(six-month yen LIBOR + 0.5%)
10
14 Straight Bonds 10 Feb. 15, 2000 Feb. 15, 2010 2.56 15
13 Straight Bonds 10 Nov. 10, 1999 Nov. 10, 2009 2.95 10
12 Straight Bonds(Retail) 4 Sep. 13, 1999 Sep. 12, 2003 1.90 20
11 Straight Bonds 7 Jul. 28, 1999 Jul. 28, 2006 2.51 20
10 Straight Bonds 6 Jul. 07, 1999 Jul. 07, 2005 2.27 10
9 Straight Bonds(Retail) 4 Jun. 17, 1999 Jun. 17, 2003 1.40 10
8 Straight Bonds 5 May. 26, 1999 May. 26, 2004 1.79 10
7 Straight Bonds 5 May. 12, 1999 May. 12, 2004 2.03 20
6 Straight Bonds(Retail) 4 Dec. 04, 1998 Dec. 04, 2002 2.05 10
5 Straight Bonds 3 Sep. 04, 1998 Sep. 04, 2001 2.10 10
4 Straight Bonds 3 Aug. 27, 1998 Aug. 27, 2001 2.10 10
3 Straight Bonds 5 Nov. 25, 1997 Nov. 25, 2002 2.00 10
2 Straight Bonds 5 Jun. 26, 1997 Jun. 26, 2002 2.60 10
1 Straight Bonds 5 Jan. 28, 1997 Jan. 28, 2002 2.10 10

Total amount issued : 535billion

Convertible Bond Issue

As of February 29, 2012
Date Issued Maturity Date Coupon Rate(%) Conversion Value Face Amount
(Yen-billion)
Jul. 24, 2008 Jul. 24, 2015 0.0 2,662.3 yen per share 420
  • Bonds highlighted in blue have matured.
  • Reason for Early Redemption: Exercise of the call option as provided for under Condition 7.5 (Corporate Event Redemption) of the Terms and Conditions of the Bonds on February 29,2012(London Time)

* Please refer to this page for details.

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