Investor Relations

FY2017

10-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
95 20 0.200 100 20 Apr 2017 28 Apr 2027 28 Mar and Sep
(First Payment) 28 Sep 2017
96 20 0.205 100 23 May 2017 28 May 2027 28 Mar and Sep
(First Payment) 28 Sep 2017
97 20 0.205 100 20 Jun 2017 28 Jun 2027 28 Mar and Sep
(First Payment) 28 Sep 2017
98 20 0.250 100 21 Jul 2017 28 Jul 2027 28 Mar and Sep
(First Payment) 28 Mar 2018
99 20 0.225 100 18 Aug 2017 27 Aug 2027 28 Mar and Sep
(First Payment) 28 Mar 2018
100 20 0.165 100 22 Sep 2017 28 Sep 2027 28 Mar and Sep
(First Payment) 28 Mar 2018
101 15 0.235 100 20 Oct 2017 28 Oct 2027 28 Mar and Sep
(First Payment) 28 Mar 2018
102 20 0.200 100 17 Nov 2017 26 Nov 2027 28 Mar and Sep
(First Payment) 28 Mar 2018
103 15 0.220 100 21 Dec 2017 28 Dec 2027 28 Mar and Sep
(First Payment) 28 Mar 2018
104 15 0.255 100 26 Jan 2018 28 Jan 2028 28 Mar and Sep
(First Payment) 28 Sep 2018
105 15 0.250 100 20 Feb 2018 28 Feb 2028 28 Mar and Sep
(First Payment) 28 Sep 2018
106 15 0.215 100 19 Mar 2018 28 Mar 2028 28 Mar and Sep
(First Payment) 28 Sep 2018

20-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
59 15 0.669 100 20 Apr 2017 28 Apr 2037 28 Mar and Sep
(First Payment) 28 Sep 2017
60 20 0.616 100 20 Jun 2017 26 Jun 2037 28 Mar and Sep
(First Payment) 28 Sep 2017
61 15 0.673 100 21 Jul 2017 28 Jul 2037 28 Mar and Sep
(First Payment) 28 Mar 2018
62 20 0.592 100 22 Sep 2017 28 Sep 2037 28 Mar and Sep
(First Payment) 28 Mar 2018
63 10 0.616 100 20 Oct 2017 28 Oct 2037 28 Mar and Sep
(First Payment) 28 Mar 2018
64 10 0.616 100 21 Dec 2017 28 Dec 2037 28 Mar and Sep
(First Payment) 28 Mar 2018
65 10 0.635 100 26 Jan 2018 28 Jan 2038 28 Mar and Sep
(First Payment) 28 Sep 2018

5-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
21 10 0.010 100 20 Apr 2017 28 Apr 2022 28 Mar and Sep
(First Payment) 28 Sep 2017
22 10 0.020 100 20 Oct 2017 28 Oct 2022 28 Mar and Sep
(First Payment) 28 Mar 2018

30-year Bonds

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Issue Number Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date Interest Payment Dates
4 10 0.946 100 20 Apr 2017 26 Apr 2047 28 Mar and Sep
(First Payment) 28 Sep 2017
5 10 0.973 100 20 Oct 2017 28 Oct 2047 28 Mar and Sep
(First Payment) 28 Mar 2018

FLIP (Flexible Issuance Program)

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Issue Number Term
(years)
Issue Amount
(yen in billions)
Coupon
(%)
Issue Price
(%)
Issue Date Maturity Date
355 6 30 0.020 100 26 Apr 2017 28 Nov 2022
356 7 100 0.040 100 26 Apr 2017 26 Apr 2024
357 12 60 0.230 100 26 Apr 2017 19 Mar 2029
358 13 30 0.285 100 26 Apr 2017 26 Apr 2030
359 19 30 0.575 100 26 Apr 2017 19 Sep 2036
360 21 30 0.623 100 26 Apr 2017 19 Mar 2038
361 5 60 0.010 100 27 Apr 2017 20 Jun 2022
362 6 30 0.020 100 27 Apr 2017 18 Nov 2022
363 6 30 0.020 100 27 Apr 2017 24 Nov 2022
364 6 30 0.020 100 27 Apr 2017 25 Nov 2022
365 6 30 0.020 100 27 Apr 2017 29 Nov 2022
366 6 30 0.020 100 27 Apr 2017 28 Mar 2023
367 6 80 0.020 100 27 Apr 2017 28 Apr 2023
368 12 30 0.252 100 27 Apr 2017 27 Apr 2029
369 15 30 0.408 100 27 Apr 2017 23 Sep 2032
370 3 30 0.005 100 31 May 2017 30 Nov 2020
371 6 30 0.050 100 27 Jul 2017 15 Feb 2023
372 6 30 0.050 100 27 Jul 2017 17 Feb 2023
373 6 30 0.050 100 27 Jul 2017 23 Feb 2023
374 8 30 0.101 100 27 Jul 2017 30 May 2025
375 9 100 0.195 100 27 Jul 2017 19 Jun 2026
376 11 30 0.218 100 31 Jul 2017 25 Feb 2028
377 13 30 0.340 100 27 Jul 2017 29 Jul 2030
378 21 30 0.675 100 27 Jul 2017 26 Feb 2038
379 21 30 0.671 100 27 Jul 2017 19 Mar 2038
380 5 80 0.010 100 28 Jul 2017 28 Sep 2022
381 6 30 0.050 100 28 Jul 2017 24 Feb 2023
382 6 30 0.050 100 28 Jul 2017 27 Feb 2023
383 6 30 0.050 100 28 Jul 2017 28 Feb 2023
384 6 30 0.050 100 28 Jul 2017 30 May 2023
385 11 30 0.222 100 31 Jul 2017 28 Feb 2028
386 11 30 0.249 100 28 Jul 2017 28 Jul 2028
387 15 30 0.414 100 28 Jul 2017 28 Jul 2032
388 19 30 0.564 100 31 Jul 2017 31 Mar 2036
389 28 200 0.874 100 30 Aug 2017 30 Aug 2045
390 5 130 0.020 100 27 Oct 2017 27 Dec 2022
391 6 30 0.037 100 27 Oct 2017 30 May 2023
392 7 30 0.084 100 25 Oct 2017 20 May 2024
393 9 100 0.204 100 25 Oct 2017 18 Sep 2026
394 15 30 0.432 100 26 Oct 2017 28 Oct 2032
395 19 30 0.615 100 26 Oct 2017 27 Mar 2037
396 6 30 0.039 100 30 Oct 2017 26 May 2023
397 6 30 0.041 100 27 Oct 2017 20 Jun 2023
398 12 30 0.304 100 27 Oct 2017 19 Oct 2029
399 5 130 0.040 100 31 Jan 2018 31 Mar 2023
400 9 100 0.231 100 31 Jan 2018 29 Jan 2027
401 2 200 0.001 100.002 27 Feb 2018 27 Feb 2020

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.