Middle-term bonds

Middle-term bonds

This page shows the Middle-term bonds to be issued and the Middle-term bonds that have been issued.

Terms and conditions are published for last two years.

3yr Bond

Series Maturity
(year)
Coupon
(%)
Issue
Price
(per100)
Issue
Amount
(billion yen)
Pricing
Date
Issue
Date
Maturity
Date
Terms and
Conditions
(PDF)
6 3 0.12 99.99 30 21-Feb-2014 4-Mar-2014 17-Mar-2017 -
5 3 0.27 99.98 40 16-Apr-2010 27-Apr-2010 19-Mar-2013 -
4 3 0.33 99.98 20 14-Jan-2010 25-Jan-2010 20-Dec-2012 -
3 3 0.44 99.98 20 10-Jul-2009 22-Jul-2009 20-Jun-2012 -
2 3 0.68 99.98 30 26-Feb-2009 09-Mar-2009 19-Mar-2012 -
1 3 0.62 99.98 35 14-Jan-2009 23-Jan-2009 20-Dec-2011 -

5yr Bond

Series Maturity
(year)
Coupon
(%)
Issue
Price
(per100)
Issue
Amount
(billion yen)
Pricing
Date
Issue
Date
Maturity
Date
Terms and
Conditions
(PDF)
35 5 0.300 100.00 60 26-Apr-2023 10-May-2023 17-Mar-2028
34 5 0.230 100.00 70 2-Dec-2022 20-Dec-2022 20-Dec-2027
33 5 0.010 100.00 60 27-Nov-2020 8-Dec-2020 19-Dec-2025
32 5 0.020 100.00 50 26-Jun-2020 7-July-2020 20-Jun-2025
31 5 0.005 100.00 40 28-Jun-2019 9-July-2019 20-Jun-2024
30 5 0.22 99.99 20 3-Oct-2012 15-Oct-2012 20-Sep-2017 -
29 5 0.35 99.98 20 2-Mar-2012 13-Mar-2012 17-Mar-2017 -
28 5 0.47 100.00 30 13-May-2011 24-May-2011 18-Mar-2016 -
27 5 0.29 100.00 40 8-Oct-2010 20-Oct-2010 18-Sep-2015 -
26 5 0.36 99.99 20 2-Jul-2010 13-Jul-2010 19-Jun-2015 -
25 5 1.01 100.00 30 7-Feb-2008 19-Feb-2007 20-Dec-2012 -
24 5 1.36 99.98 20 5-Oct-2007 17-Oct-2007 20-Sep-2012 -
23 5 1.29 99.98 30 10-Apr-2007 19-Apr-2007 19-Mar-2012 -
22 5 1.21 99.97 30 5-Oct-2006 17-Oct-2006 20-Sep-2011 -
21 5 1.40 99.99 30 18-Apr-2006 27-Apr-2006 18-Mar-2011 -
20 5 0.87 99.96 40 20-Oct-2005 2-Nov-2005 20-Dec-2010 -
19 5 0.56 99.97 50 14-Apr-2005 27-Apr-2005 18-Jun-2010 -
18 5 0.66 99.95 30 8-Mar-2005 22-Mar-2005 19-Mar-2010 -
17 5 0.67 99.98 30 29-Oct-2004 12-Nov-2004 18-Dec-2009 -
16 5 0.65 99.97 50 9-Apr-2004 22-Apr-2004 19-Mar-2009 -
15 5 0.50 99.55 30 3-Mar-2004 18-Mar-2004 25-Mar-2009 -
14 5 0.70 99.85 30 3-Dec-2003 24-Dec-2003 25-Dec-2008 -
13 5 1.00 99.85 20 3-Sep-2003 24-Sep-2003 25-Sep-2008 -
12 5 0.10 99.60 30 4-Jun-2003 19-Jun-2003 18-Jun-2008 -
11 5 0.20 99.58 20 5-Mar-2003 19-Mar-2003 25-Mar-2008 -
10 5 0.30 99.65 30 22-Nov-2002 19-Dec-2002 25-Dec-2007 -
9 5 0.30 99.70 20 22-Aug-2002 19-Sep-2002 25-Sep-2007 -
8 5 0.50 99.75 30 23-May-2002 20-Jun-2002 25-Jun-2007 -
7 5 0.60 99.70 20 22-Feb-2002 19-Mar-2002 23-Mar-2007 -
6 5 0.50 99.90 30 22-Nov-2001 20-Dec-2001 25-Dec-2006 -
5 5 0.50 100.00 20 22-Aug-2001 20-Sep-2001 25-Sep-2006 -
4 5 0.50 99.85 30 23-May-2001 21-Jun-2001 23-Jun-2006 -
3 5 0.90 99.90 30 31-Jan-2001 19-Feb-2001 24-Feb-2006 -
2 5 1.20 99.65 30 22-Sep-2000 19-Oct-2000 25-Oct-2005 -
1 5 1.10 99.95 40 22-Jun-2000 19-Jul-2000 25-Jul-2005 -

6yr Bond

Series Maturity
(year)
Coupon
(%)
Issue
Price
(per100)
Issue
Amount
(billion yen)
Pricing
Date
Issue
Date
Maturity
Date
Terms and
Conditions
(PDF)
1 6 0.32 99.97 20 5-Jul-2012 17-Jul-2012 20-Jun-2018 -

7yr Bond

Series Maturity
(year)
Coupon
(%)
Issue
Price
(per100)
Issue
Amount
(billion yen)
Pricing
Date
Issue
Date
Maturity
Date
Terms and
Conditions
(PDF)
8 7 0.238 100.00 30 4-Aug-2015 13-Aug-2015 20-Sep-2022 -
7 7 0.249 100.00 10 13-Feb-2015 24-Feb-2015 18-Mar-2022 -
6 7 0.52 100.00 20 18-Sep-2014 30-Sep-2014 17-Sep-2021 -
5 7 0.52 99.93 20 4-Sep-2013 13-Sep-2013 18-Sep-2020 -
4 7 0.51 99.96 30 11-May-2012 22-May-2012 20-Mar-2019 -
3 7 0.58 100.00 20 7-Oct-2011 19-Oct-2011 20-Sep-2018 -
2 7 0.62 99.98 30 12-Nov-2010 24-Nov-2010 20-Sep-2017 -
1 7 0.70 99.95 20 18-Jun-2010 29-Jun-2010 20-Jun-2017 -

Neither the information nor the opinions herein constitute, or are to be construed as, an offer or the solicitation of an offer to sell or buy the securities referred to herein.  You are therefore reminded that Tokyo Metropolitan Government is not liable for any loss arising in any way from, or in connection with, the contents of this material.  All the necessary information to make your investment decision must be obtained from banks or securities firms who solicit the concerned securities to you.

記事ID:006-001-20240123-011296