3rd bond

(1) Total Issued ¥ 30 billion
(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.

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