The Tokyo Electric Power Company, Incorporated (the "Company") hereby notifies
all interested parties that the Company has decided the following outline of
issuance of its 531st domestic straight corporate bond. The terms of the issues
are as follows:
[Outline of Issue]
1. Name of the bond The Tokyo Electric Power Company, Incorporated
531st Domestic Straight Corporate Bond
(with general mortgage)
2. Aggregate amount 100 billion yen
3. Date of issue September 25, 2007
4. Coupon rate 1.845%
5. Issue price 100 yen per par value of 100 yen
6. Mortgage General Mortgage
7. Interest payment date March 25 and September 25 every year
8. Redemption date September 25, 2017
(10-year period: bullet maturity)
9. Yield on the bond 1.845%
10. Denomination value 1 million yen
11. Schedule
Announcement date August 27, 2007 (Monday)
Offering period August 27, 2007 (Monday)
Payment due date September 25, 2007 (Tuesday)
12. Lead managing underwriter
Nomura Securities Co., Ltd.
Nikko Citigroup Limited
Please note that the above purports to be an accurate and complete
translation of the original Japanese version prepared for the convenience
of our English-speaking audience. However, in the case of any discrepancy
between the translation and the Japanese original, the latter shall prevail.
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