Terms & Conditions of Senior Bonds and Subordinated Bonds

(as of December 31, 2025)

Terms & Conditions of Senior Bonds (TLAC eligible)

Overseas Offering by Mizuho Financial Group

ISIN

Issue Date

Amount

Terms & Conditions

US60687YAG44

September 13, 2016

USD 1 billion

US60687YAK55

February 28, 2017

USD 0.5 billion

US60687YAM12

September 11, 2017

USD 1.1 billion

US60687YAR09

March 5, 2018

USD 1.3 billion

XS1801905628

April 10, 2018

EUR 0.5 billion

US60687YAT64

September 11, 2018

USD 1 billion

US60687YAX76

July 16, 2019

USD 0.75 billion

XS2049630028

September 6, 2019

EUR 0.5 billion

US60687YBA64

September 13, 2019

USD 0.5 billion

XS2098350965

January 14, 2020

EUR 0.75 billion

US60687YBE86

February 25, 2020

USD 0.5 billion

US60687YBH18

July 10, 2020

USD 1 billion

US60687YBL20

September 8, 2020

USD 0.8 billion

XS2241387096

October 7, 2020

EUR 1 billion

US60687YBP34

US60687YBQ17

February 22, 2021

February 22, 2021

USD 1.4 billion

USD 0.6 billion

XS2329144591

April 12, 2021

EUR 0.75 billion

US60687YBS72

US60687YBT55

July 9, 2021

July 9, 2021

USD 1.1 billion

USD 0.65 billion

XS2383901761

September 6, 2021

EUR 1 billion

US60687YBX67

February 22, 2022

USD 0.5 billion

XS2465984107

XS2465984529

April 8, 2022

April 8, 2022

EUR 0.75 billion

EUR 0.75 billion

XS2528323780

XS2528311348

September 5, 2022

September 5, 2022

EUR 0.8 billion

EUR 0.5 billion

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

XS2594990892

March 13, 2023

GBP 0.5 billion

US60687YCZ07

US60687YDB20

July 6, 2023

July 6, 2023

USD 1.4 billion

USD 1.1 billion

XS2672744013

August 28, 2023

AUD 0.4 billion

XS2672418055

August 28, 2023

EUR 0.75 billion

XS2769667234

February 21, 2024

EUR 0.75 billion

US60687YDD85

US60687YDE68

February 26, 2024

February 26, 2024

USD 0.75 billion

USD 0.75 billion

US60687YDF34

US60687YDG17

July 10, 2024

July 10, 2024

USD 0.8 billion

USD 0.7 billion

XS2886269013

XS2886269286

August 27, 2024

August 27, 2024

EUR 0.5 billion

EUR 0.6 billion

XS2997348037

February 13, 2025

EUR 0.65 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)

Domestic Offering by Mizuho Financial Group

Series

ISIN

Issue Date

Amount

Terms & Conditions

Perpetual Subordinated Bonds #3

JP388578CG74

July 22, 2016

230 billion yen

Perpetual Subordinated Bonds #5

JP388578BH74

July 21, 2017

225 billion yen

Perpetual Subordinated Bonds #7

JP388578BJ72

July 20, 2018

155 billion yen

Perpetual Subordinated Bonds #9

JP388578BK79

July 19, 2019

95 billion yen

Perpetual Subordinated Bonds #11

JP388578BL78

July 21, 2020

44 billion yen

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 #14

JP388578ANC0

December 26, 2022

77 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 #5

JP388578CEC5

December 18, 2014

10 billion yen

Subordinated Bonds #8

JP388578CF67

June 18, 2015

20 billion yen

Subordinated Bonds #9

JP388578AG68

June 20, 2016

155 billion yen

Subordinated Bonds #10

JP388578AH18

January 26, 2017

81 billion yen

Subordinated Bonds #12

JP388578AH67

June 21, 2017

35 billion yen

Subordinated Bonds #15

JP388578BJ64

June 12, 2018

15 billion yen

Subordinated Bonds #17

JP388578AK62

June 13, 2019

35 billion yen

Subordinated Bonds #19

JP388578AKA0

October 30, 2019

41 billion yen

Subordinated Bonds #21

JP388578AL61

June 24, 2020

40 billion yen

Subordinated Bonds #23

JP388578ALA8

October 30, 2020

63 billion yen

Subordinated Bonds #25

Subordinated Bonds #26

JP388578ANA4

JP388578BNA2

October 28, 2022

October 28, 2022

51 billion yen

52 billion yen

Subordinated Bonds #27

JP388578CNA0

October 19, 2022

28.5 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

Overseas Offering

Issuer

ISIN

Issue Date

Amount

Terms & Conditions

Mizuho Financial Group

US60687YBU29

September 13, 2021

USD 1 billion

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