SoftBank Group Corp.
Announcement regarding the issuance of the 70th unsecured ordinary corporate bonds
Bond issuance notice. Issuing the 70th unsecured ordinary bonds in total amount of 1 trillion yen, maturity date September 16, 2033, interest rate undecided (provisional range 4.30%–4.90%).
Key Figures
- Total issue amount: 1 trillion yen
- Maturity date: September 16, 2033
- Interest rate: Undecided (provisional range 4.30%–4.90%)
AI要約
Section heading
SoftBank Group has submitted a corrigendum to the registration statement for the issuance of the 70th unsecured ordinary bonds and plans to finalize and disclose the issuance terms on September 4, 2026. The total issuance amount is 1 trillion yen, the tenor is 7 years, maturity in a single bullet payment at maturity, semiannual interest payments, with no collateral or guarantee.
Section 2 heading
Method of offering: domestic general offering; target mainly individual investors. Financial covenants include collateral provision restrictions, pledged asset switching clause, and net assets maintenance clause. Underwriters include Nomura Securities Co., Ltd. and others; debt manager is Aozora Bank.
SoftBank Group Corp.
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