Details

As of September 30, 2019

Description Date of Issue

Balance on Sep. 30, 2019 (million yen)

Balance on Sep. 30, 2019 (million yen)

Rest 
rate
(%)

Due date

Zero Coupon Convertible
Bonds due 2022

June 11, 2018

15,000

15,000

0.0

June 10, 2022

Zero Coupon Convertible
Bonds due 2025

June 11, 2018

15,000

15,000

0.0

June 11, 2025