Overview of Development Bank of Japan Bond Issue No. 14

NoGovernment Guarantee No. 14
Issue amount¥30.0 billion
Individual bond amount¥1000 million
Coupon rate (nominal interest rate)2.1% per year
Selling price¥100.28 per ¥100 face value
Redemption method and maturitySeptember 13,2021(lump-sum redemption at maturity)
Interest payment date13th of March and September
Application deadlineSeptember 4,2006
Payment date (issue date)September 13,2006
GuaranteePrincipal and interest guaranteed by the Japanese government
CollateralGeneral mortgage (general collateral)
Underwriting and flotationMitsubishi UFJ Securities Co., Ltd. (book runner); Nikko Citigroup Limited; Daiwa Securities SMBC Co. Ltd.; Deutsche Securities Ltd.; Mizuho Securities Co., Ltd.; Credit Suisse Securities (Japan) Limited; BNP PARIBAS Securities (Japan) Limited; Nomura Securities Co., Ltd.; Morgan Stanley Japan Securities Co., Ltd.
TrusteeThe Bank of Tokyo-Mitsubishi UFJ, Ltd.
Institution for transferJapan Securities Depository Center

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