Investor Relations

FY2015

MTN

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Series Number ISIN Code Format Currency Issue Amount
(in millions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
49 XS1219588560
US471068AE63
GLOBAL USD 1,000 2.000 99.391 21 Apr 2015 21 Apr 2022 21 Apr
and Oct
50 XS1332356804 EURO USD 13 2.01 99.99 21 Dec 2015 21 Dec 2020 21 Jun
and Dec
51 XS1332357794 EURO AUD 95 3.06 99.99 21 Dec 2015 21 Dec 2020 21 Jun
and Dec
52 XS1358935952
US471068AF39
GLOBAL USD 500 2.125 99.774 12 Feb 2016 12 Feb 2021 12 Feb
and Aug

Overview of Outstanding International Bonds by Currency

Japan Finance Organization for Municipalities
(As of 31 March 2014)
Japan Finance Organization for Municipalities