3rd bond
(1) Total Issued | ¥ 30 billion |
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(2) Term | 5 years |
(3) Interet Rate | 0.85% per annum |
(4) Issue Price | ¥100 per ¥100 of the face value of each bond |
(5) Yield Rate | 0.85% per annum |
(6) Paymet Date (Issue Date) | September 14, 2022 |
(7) Redemption Date | September 14, 2027 (Full redemption upon maturity) |
(8) Type of Collateral | Unsecured |
(9) Lead Managers | Mizuho Securities Co., Ltd. Nomura Securities Co., Ltd. Mitsubishi UFJ Morgan Stanley Securities Co., Ltd. Daiwa Securities Co., Ltd. Shinkin Securities Co., Ltd. |