Details are as follows:
Issue amount | : U.S.$ 455 million | |
Maturity | : January 28, 2020 | |
Coupon | : 3month USD-LIBOR-BBA+ 24bp | |
Re-offer price | : 100% | |
Guarantor | : Japan | |
Listing | : London Stock Exchange PSM | |
Lead Manager | : Nomura International plc Goldman Sachs International J.P. Morgan Securities plc | |
Signing date | : January 26, 2015 | |
Closing date | : January 28, 2015 |
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