Investor Relations

FY2013

10-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
47 40 0.576 100 18 Apr 2013 28 Apr 2023 28 Mar and Sep
(First Payment) 28 Sep 2013
48 40 0.813 100 23 May 2013 26 May 2023 28 Mar and Sep
(First Payment) 28 Sep 2013
49 40 0.887 100 20 Jun 2013 28 Jun 2023 28 Mar and Sep
(First Payment) 28 Sep 2013
50 40 0.922 100 22 Jul 2013 28 Jul 2023 28 Mar and Sep
(First Payment) 28 Mar 2014
51 40 0.841 100 19 Aug 2013 28 Aug 2023 28 Mar and Sep
(First Payment) 28 Mar 2014
52 40 0.831 100 24 Sep 2013 28 Sep 2023 28 Mar and Sep
(First Payment) 28 Mar 2014
53 40 0.739 100 21 Oct 2013 27 Oct 2023 28 Mar and Sep
(First Payment) 28 Mar 2014
54 20 0.730 100 25 Nov 2013 28 Nov 2023 28 Mar and Sep
(First Payment) 28 Mar 2014
55 25 0.778 100 24 Dec 2013 28 Dec 2023 28 Mar and Sep
(First Payment) 28 Mar 2014
56 30 0.783 100 27 Jan 2014 26 Jan 2024 28 Mar and Sep
(First Payment) 28 Sep 2014
57 30 0.739 100 19 Feb 2014 28 Feb 2024 28 Mar and Sep
(First Payment) 28 Sep 2014
58 30 0.739 100 24 Mar 2014 28 Mar 2024 28 Mar and Sep
(First Payment) 28 Sep 2014

20-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
28 15 1.396 100 18 Apr 2013 28 Apr 2033 28 Mar and Sep
(First Payment) 28 Sep 2013
29 10 1.725 100 20 Jun 2013 28 Jun 2033 28 Mar and Sep
(First Payment) 28 Sep 2013
30 10 1.812 100 22 Jul 2013 28 Jul 2033 28 Mar and Sep
(First Payment) 28 Mar 2014
31 15 1.744 100 24 Sep 2013 28 Sep 2033 28 Mar and Sep
(First Payment) 28 Mar 2014
32 15 1.624 100 21 Oct 2013 28 Oct 2033 28 Mar and Sep
(First Payment) 28 Mar 2014
33 20 1.668 100 24 Dec 2013 28 Dec 2033 28 Mar and Sep
(First Payment) 28 Mar 2014
34 25 1.624 100 27 Jan 2014 27 Jan 2034 28 Mar and Sep
(First Payment) 28 Sep 2014
35 15 1.569 100 24 Mar 2014 28 Mar 2034 28 Mar and Sep
(First Payment) 28 Sep 2014

5-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
12 15 0.314 100 22 Apr 2013 27 Apr 2018 28 Mar and Sep
(First Payment) 28 Sep 2013
13 15 0.360 100 22 Jul 2013 27 Jul 2018 28 Mar and Sep
(First Payment) 28 Mar 2014
14 15 0.245 100 21 Oct 2013 26 Oct 2018 28 Mar and Sep
(First Payment) 28 Mar 2014

2-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
1 50 0.135 100 19 Feb 2014 26 Feb 2016 28 Mar and Sep
(First Payment) 28 Sep 2014

3-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
1 20 0.170 100 19 Aug 2013 26 Aug 2016 28 Mar and Sep
(First Payment) 28 Mar 2014

15-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
2 20 1.161 100 24 Dec 2013 28 Dec 2028 28 Mar and Sep
(First Payment) 28 Mar 2014
3 15 1.176 100 22 Jan 2014 26 Jan 2029 28 Mar and Sep
(First Payment) 28 Sep 2014

FLIP (Flexible Issuance Program)

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Issue Number Term
(years)
Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date
154 3 9 0.199 100 25 Apr 2013 20 Jun 2016
155 9 20 0.618 100 25 Apr 2013 20 Jun 2022
156 13 5 0.908 100 24 Apr 2013 28 May 2026
157 15 3 1.122 100 25 Apr 2013 25 Apr 2028
158 16 8 1.226 100 25 Apr 2013 19 Mar 2029
159 15 6 1.119 100 25 Apr 2013 31 Mar 2028
160 15 3 1.052 100 26 Apr 2013 26 May 2028
161 17 3 1.257 100 30 Apr 2013 28 May 2030
162 15 5.5 1.027 100 30 Apr 2013 30 Nov 2027
163 15 3 1.050 100 30 Apr 2013 28 Apr 2028
164 21 3.5 1.552 100 20 May 2013 28 Dec 2033
165 3 10 0.239 100 28 May 2013 28 Jun 2016
166 11 3 0.961 100 28 May 2013 28 May 2024
167 12 3 1.048 100 28 May 2013 27 Jun 2025
168 16 3 1.425 100 28 May 2013 28 May 2029
169 21 3.5 1.753 100 28 May 2013 26 May 2034
170 3 3 0.243 100 29 May 2013 27 May 2016
171 8 5 0.783 100 29 May 2013 28 May 2021
172 13 3 1.155 100 29 May 2013 29 May 2026
173 14 4 1.276 100 29 May 2013 28 May 2027
174 25 3 1.889 100 29 May 2013 28 May 2038
175 9 20 0.850 100 24 Jul 2013 20 Sep 2022
176 11 4 0.929 100 24 Jul 2013 24 Jul 2024
177 15 3 1.299 100 24 Jul 2013 24 Jul 2028
178 22 3 1.831 100 24 Jul 2013 24 Jul 2035
179 12 3 0.991 100 30 Jul 2013 30 Jul 2025
180 7 6 0.570 100 30 Jul 2013 28 Jul 2020
181 13 5 1.109 100 30 Jul 2013 28 Jul 2026
182 15 3 1.309 100 30 Jul 2013 28 Jul 2028
183 19 3 1.703 100 30 Jul 2013 28 Jul 2032
184 14 4 1.208 100 30 Jul 2013 27 Aug 2027
185 *1 20 11 0.50 76.60 31 Jul 2013 28 Jul 2033
186 9 3 0.767 100 27 Aug 2013 26 Aug 2022
187 9 20 0.713 100 23 Oct 2013 20 Dec 2022
188 11 4 0.813 100 23 Oct 2013 29 Oct 2024
189 14 3 1.103 100 23 Oct 2013 28 Oct 2027
190 11 3 0.792 100 24 Oct 2013 24 Oct 2024
191 13 4 0.990 100 24 Oct 2013 22 Jan 2027
192 15 3.5 1.167 100 24 Oct 2013 24 Oct 2028
193 22 3 1.685 100 24 Oct 2013 20 Sep 2035
194 14 3 1.066 100 29 Oct 2013 26 Nov 2027
195 16 3.5 1.325 100 29 Oct 2013 19 Mar 2030
196 12 3 0.854 100 29 Oct 2013 29 Oct 2025
197 14 5 1.052 100 29 Oct 2013 29 Oct 2027
198 25 7 1.735 99.88 26 Nov 2013 28 Sep 2038
199 9 20 0.734 100 29 Jan 2014 20 Mar 2023
200 11 5 0.820 100 30 Jan 2014 28 Jan 2025
201 13 3 0.983 100 29 Jan 2014 28 Jan 2027
202 12 3 0.929 100 30 Jan 2014 26 Jun 2026
203 14 3 1.063 100 30 Jan 2014 28 Feb 2028
204 25 3 1.772 100 30 Jan 2014 28 Jan 2039
205 12 3 0.922 100 30 Jan 2014 30 Jan 2026
206 14 5 1.065 100 30 Jan 2014 28 Jan 2028
207 21 3 1.679 100 30 Jan 2014 30 Jan 2035
208 12 6.5 0.857 100 4 Feb 2014 4 Feb 2026
209 14 3 0.990 100 4 Feb 2014 4 Feb 2028
210 21 11 1.602 100 4 Feb 2014 20 Mar 2035
211 30 10 *2 100 26 Feb 2014 26 Feb 2044

*1 Yields 2.180% (simple interest) and 1.914% (compound interest). Offering and transfers restricted.

*2 Fallback Rate(TONA) + 0.16%

Note: When the redemption date or interest payment date fall on a bank holiday, the payment of interest will be made on the preceding bank business day.

The issue conditions listed on this website are intended only for the provision of information. They are not intended to elicit the sale or purchase of JFM bonds, bonds of Japan Finance Organization for Municipal Enterprise, and bonds of Japan Finance Corporation for Municipal Enterprise. Therefore, the JFM assumes absolutely no responsibility for losses associated with the purchase of JFM bonds, bonds of Japan Finance Organization for Municipal Enterprise, and bonds of Japan Finance Corporation for Municipal Enterprise. We recommend that investors contact the banks or securities in order to acquire all information required for investments decisions towards JFM bonds, bonds of Japan Finance Organization for Municipal Enterprise, and bonds of Japan Finance Corporation for Municipal Enterprise.