Investor Relations

FY2025

10-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
191 20 1.522 100 21 Apr 2025 27 Apr 2035 28 Mar and Sep
(First Payment)28 Sep 2025
192 17 1.671 100 22 May 2025 28 May 2035 28 Mar and Sep
(First Payment)28 Sep 2025
193 35 1.671 100 20 Jun 2025 28 Jun 2035 28 Mar and Sep
(First Payment)28 Sep 2025
194 48 1.651 100 17 Jul 2035 27 Jul 2035 28 Mar and Sep
(First Payment)28 Mar 2026
195 33 1.673 100 22 Aug 2025 28 Aug 2035 28 Mar and Sep
(First Payment)28 Mar 2026
196 33 1.682 100 19 Sep 2025 28 Sep 2035 28 Mar and Sep
(First Payment)28 Mar 2026

20-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
118 11 2.275 100 21 Apr 2025 28 Apr 2045 28 Mar and Sep
(First Payment)28 Sep 2025
119 18 2.389 100 20 Jun 2025 28 Jun 2045 28 Mar and Sep
(First Payment)28 Sep 2025
120 15 2.505 100 17 Jul 2025 28 Jul 2045 28 Mar and Sep
(First Payment)28 Mar 2026
121 15 2.659 100 19 Sep 2025 28 Sep 2045 28 Mar and Sep
(First Payment)28 Mar 2026

5-year Bonds(Green Bonds)

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
37 25 1.178 100 20 Jun 2025 28 Jun 2030 28 Mar and Sep
(First Payment)28 Sep 2025

30-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
21 11 2.669 100 21 Apr 2025 28 Apr 2055 28 Mar and Sep
(First Payment)28 Sep 2025

FLIP (Flexible Issuance Program) Bonds

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Issue Number Term
(years)
Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date
835 5 4 1.004 100 25 Apr 2025 25 Jun 2030
836 7 20 1.352 100 28 May 2025 26 Mar 2032
837 9 3 1.675 100 28 May 2025 28 Nov 2034
838 3 3 0.823 100 26 Jun 2025 26 Jan 2028
839 3 3 0.824 100 26 Jun 2025 25 Feb 2028
840 4 3 1.090 100 26 Jun 2025 26 Dec 2029
841 6 3 1.211 100 26 Jun 2025 24 Jan 2031
842 7 3 1.295 100 26 Jun 2025 26 Mar 2032
843 11 5 1.710 100 26 Jun 2025 25 Jan 2036
844 3 3 0.844 100 27 Jun 2025 27 Mar 2028
845 4 3 1.012 100 27 Jun 2025 27 Jun 2029
846 5 4 1.140 100 27 Jun2025 27 Aug 2030
847 6 8 1.205 100 27 Jun 2025 27 Aug 2031
848 7 3 1.266 100 27 Jun 2025 25 Jun 2032
849 9 3 1.571 100 27 Jun 2025 20 Dec 2034
850 7 20 1.408 100 25 Jul 2025 25 Jun 2032
851 9 5 1.672 100 25 Jul 2025 25 Jan 2035
852 26 5 2.989 100 25 Jul 2025 25 Jul 2051
853 5 10 1.211 100 28 Jul 2025 28 Jun 2030
854 6 3 1.306 100 28 Jul 2025 26 Sep 2031
855 8 3 1.472 100 28 Jul 2025 28 Jul 2033
856 8 3 1.513 100 29 Aug 2025 27 May 2033
857 3 3 1.036 100 26 Sep 2025 25 Aug 2028
858 8 3 1.503 100 26 Sep 2025 26 Sep 2033
859 3 3 1.059 100 29 Sep 2025 29 Nov 2028
860 5 4 1.278 100 29 Sep 2025 29 Nov 2030
861 9 3 1.654 100 29 Sep 2025 29 Nov 2034

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.