| Issuing amount: |
¥100 billion |
| Amount of each bond: |
¥100 million |
| Deliveries of securities: |
No physical delivery of securities |
| Coupon rate: |
0.4% per annum |
| Issue price: |
¥100.02 per ¥100 face value |
| Redemption price: |
¥100 per ¥100 face value |
| Maturity and redemption: |
May 20, 2011 and full-amount redemption thereon |
| Interest payment dates: |
Mar. 25 and Sep. 25 (First payment due on Sep. 25, 2009) |
| Guarantor: |
Japanese Government |
| Collateral: |
General Mortgage |
| Final date of offering: |
May 14, 2009 |
| Date of issue: |
May 22, 2009 |
| Underwriter: |
Mizuho Securities Co., Ltd.
Daiwa Securities SMBC Co., Ltd.
Mitsubishi UFJ Securities Co., Ltd.
Morgan Stanley Japan Securities Co., Ltd.
Nikko Citigroup Limited
Shinkin Securities Co., Ltd. |
| Trustee: |
The Bank of Tokyo-Mitsubishi UFJ, Ltd. |
| Depository organization: |
Japan Securities Depository Center, Inc. (JASDEC) |
| Issuing/paying agent: |
The Bank of Tokyo-Mitsubishi UFJ, Ltd. |
| Principal redemption commission: |
¥0.00009 per ¥100 principal |
| Interest payment commission: |
¥0.0001625 per ¥100 principal |