| Issuing amount: |
¥100 billion |
| Amount of each bond: |
¥100 million |
| Deliveries of securities: |
No physical delivery of securities |
| Coupon rate: |
0.3% per annum |
| Issue price: |
¥99.98 per ¥100 face value |
| Redemption price: |
¥100 per ¥100 face value |
| Maturity and redemption: |
June 13, 2014 and full-amount redemption thereon |
| Interest payment dates: |
Mar. 25 and Sep. 25 (First payment due on Sep. 25, 2010) |
| Guarantor: |
Japanese Government |
| Collateral: |
General Mortgage |
| Final date of offering: |
June 1, 2010 |
| Date of issue: |
June 10, 2010 |
| Underwriter: |
Daiwa Securities Capital Markets Co., Ltd.
Mitsubishi UFJ Morgan Stanley Securities Co., Ltd.
RBS Securities Japan Limited
BNP PARIBAS Securities (Japan) Limited
Okasan Securities Co., Ltd.
Nomura Securities Co., Ltd.
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 |