BONDS

(As of October 2018)

Item Amount of Issue Coupon Rate (Annual) Date of Issue Redemption Date
Euro-yen denominated convertible bond type bonds with share subscription rights due 2019 ¥ 20 billion 0.000% Aug 15 2014 Aug 30 2019
First series unsecured convertible bond ¥ 10 billion 0.363% Oct 23 2014 Oct 23 2019
Second series unsecured convertible bond ¥ 10 billion 0.645% Oct 23 2014 Oct 22 2021
Third series unsecured convertible bond ¥ 15 billion 0.440% Feb 20 2017 Feb 20 2024
Fourth series unsecured convertible bond ¥ 5 billion 0.580% Feb 20 2017 Feb 19 2027
Euro-yen denominated convertible bond type bonds with share subscription rights due 2024 ¥ 25 billion 0.000% Nov 15 2024 Nov 15 2024
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