Terms & Conditions of Senior Bonds and Subordinated Bonds
(as of December 31, 2025)
Terms & Conditions of Senior Bonds (TLAC eligible)
ISIN
Issue Date
Amount
Terms & Conditions
US60687YCL11
US60687YCM93
September 13, 2022
Semptember 13, 2022
USD 1 billion
USD 0.75 billion
XS2589712996
XS2589713614
February 20, 2023
February 20, 2023
EUR 0.6 billion
EUR 0.75 billion
US60687YCP25
US60687YCR80
US60687YCT47
February 27, 2023
February 27, 2023
February 27, 2023
USD 1 billion
USD 0.7 billion
USD 0.9 billion
US60687YDD85
US60687YDE68
February 26, 2024
February 26, 2024
USD 0.75 billion
USD 0.75 billion
US60687YDH99
US60687YDJ55
US60687YDK29
February 13, 2025
February 13, 2025
February 13, 2025
USD 0.7 billion
USD 0.9 billion
USD 0.3 billion
Terms & Conditions of subordinated bonds (Basel III eligible)
Series
ISIN
Issue Date
Amount
Terms & Conditions
Perpetual Subordinated Bonds #12
Perpetual Subordinated Bonds #13
JP388578ALC4
JP388578BLC2
December 24, 2020
December 24, 2020
87 billion yen
44 billion yen
Perpetual Subordinated Bonds #15
Perpetual Subordinated Bonds #16
JP388578CP73
JP388578DP72
July 26, 2023
July 26, 2023
160 billion yen
101 billion yen
Perpetual Subordinated Bonds #17
Perpetual Subordinated Bonds #18
JP388578AQ41
JP388578BQ40
April 18, 2024
April 18, 2024
162 billion yen
68 billion yen
Perpetual Subordinated Bonds #19
Perpetual Subordinated Bonds #20
JP388578CQ72
JP388578DQ71
July 30, 2024
July 30, 2024
56.5 billion yen
28 billion yen
Perpetual Subordinated Bonds #21
Perpetual Subordinated Bonds #22
JP388578AR40
JP388578BR49
April 15, 2025
April 15, 2025
111.5 billion yen
52.5 billion yen
Subordinated Bonds #25
Subordinated Bonds #26
JP388578ANA4
JP388578BNA2
October 28, 2022
October 28, 2022
51 billion yen
52 billion yen
Subordinated Bonds #28
Subordinated Bonds #29
JP388578AP75
JP388578BP74
July 13, 2023
July 13, 2023
95 billion yen
14.3 billion yen
Subordinated Bonds #30
Subordinated Bonds #31
JP388578AQ74
JP388578BQ73
July 18, 2024
July 18, 2024
64 billion yen
136 billion yen
Subordinated Bonds #32
Subordinated Bonds #33
JP388578ARA5
JP388578BRA3
October 30, 2025
October 30, 2025
64 billion yen
84 billion yen
* Japanese only
Issuer
ISIN
Issue Date
Amount
Terms & Conditions