{"id":33551,"date":"2026-03-06T12:31:36","date_gmt":"2026-03-06T03:31:36","guid":{"rendered":"https:\/\/japanir.jp\/en\/ir\/7532-20260306-01_wp_capital_policy\/"},"modified":"2026-03-06T12:31:36","modified_gmt":"2026-03-06T03:31:36","slug":"7532-20260306-01_wp_capital_policy","status":"publish","type":"ir_release","link":"https:\/\/japanir.jp\/en\/company\/company-7532\/ir\/7532-20260306-01_wp_capital_policy\/","title":{"rendered":"Notice Regarding Unsecured Bond Issuance"},"content":{"rendered":"<p>Pan Pacific International Holdings Corporation has decided to issue the 25th unsecured bonds worth 30 billion yen at an annual interest rate of 2.027%. The funds will be allocated to bond redemption and loan repayments.<\/p>\n","protected":false},"comment_status":"open","ping_status":"closed","template":"","meta":{"Ticker":"","DATE":"","longName":"","company_name_ja":"","fullTimeEmployees":0,"address":"","phone":"","website":"","industry":"","sector":"","regularMarketPrice":0,"financialCurrency":"","marketCap":0,"fiftyTwoWeekLow":0,"fiftyTwoWeekHigh":0,"epsTrailingTwelveMonths":0,"epsForward":0,"bookValue":0,"totalRevenue":0,"OperatingIncome":0,"operatingMargins":0,"NetIncome":0,"profitMargins":0,"ebitda":0,"trailingPE":0,"forwardPE":0,"priceToBook":0,"returnOnEquity":0,"recommendationMean":0,"recommendationKey":"","targetMeanPrice":0,"numberOfAnalystOpinions":0,"analyst_earnings_data":"","dividendRate":0,"dividendYield":0,"payoutRatio":0,"totalEsg":0,"environmentScore":0,"socialScore":0,"governanceScore":0,"title":"","providerPublishTime":"","link":"","longBusinessSummary":"","longBusinessSummary_ja":"","quarterly_revenue":0,"quarterly_net_income":0,"quarterly_operating_profit":0,"enterprise_value":0,"company_officer_1_name":"","company_officer_1_title":"","company_officer_2_name":"","company_officer_2_title":"","company_officer_3_name":"","company_officer_3_title":"","company_officer_4_name":"","company_officer_4_title":"","company_officer_5_name":"","company_officer_5_title":"","company_officers_update_time":"","get_dividend_history_year1":0,"get_dividend_history_year2":0,"get_dividend_history_year3":0,"get_dividend_history_year4":0,"get_dividend_history_year5":0,"get_dividend_history_year6":0,"get_dividend_history_year7":0,"get_dividend_history_year8":0,"get_dividend_history_year9":0,"get_dividend_history_year10":0,"site-sidebar-layout":"default","site-content-layout":"","ast-site-content-layout":"","site-content-style":"default","site-sidebar-style":"default","ast-global-header-display":"","ast-banner-title-visibility":"","ast-main-header-display":"","ast-hfb-above-header-display":"","ast-hfb-below-header-display":"","ast-hfb-mobile-header-display":"","site-post-title":"","ast-breadcrumbs-content":"","ast-featured-img":"","footer-sml-layout":"","theme-transparent-header-meta":"","adv-header-id-meta":"","stick-header-meta":"","header-above-stick-meta":"","header-main-stick-meta":"","header-below-stick-meta":"","astra-migrate-meta-layouts":"default","ast-page-background-enabled":"default","ast-page-background-meta":{"desktop":{"background-color":"var(--ast-global-color-5)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"tablet":{"background-color":"","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"mobile":{"background-color":"","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""}},"ast-content-background-meta":{"desktop":{"background-color":"var(--ast-global-color-4)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"tablet":{"background-color":"var(--ast-global-color-4)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""},"mobile":{"background-color":"var(--ast-global-color-4)","background-image":"","background-repeat":"repeat","background-position":"center center","background-size":"auto","background-attachment":"scroll","background-type":"","background-media":"","overlay-type":"","overlay-color":"","overlay-opacity":"","overlay-gradient":""}},"jir_stock_code":"7532","jir_company_name":"Pan Pacific International Holdings Corporation","jir_importance":"\u2605\u2605\u2605\u2605\u2606","jir_publication_date":"2026-03-06","jir_source_link":"https:\/\/japanir.jp\/wp-content\/uploads\/2026\/03\/7532-20260306-01.pdf","jir_short_summary":"Pan Pacific International Holdings Corporation has decided to issue the 25th unsecured bonds worth 30 billion yen at an annual interest rate of 2.027%. The funds will be allocated to bond redemption and loan repayments.","jir_summary":"### Overview of Capital Policy\nPan Pacific International Holdings Corporation has decided to issue the 25th unsecured bonds (pari passu among bonds) amounting to 30 billion yen. The interest rate is 2.027% per annum, and the redemption date is March 12, 2031. These bonds are unsecured and unguaranteed, and are subject to the book-entry transfer system. The underwriting securities firms are SMBC Nikko Securities Inc., Mizuho Securities Co., Ltd., and Mitsubishi UFJ Morgan Stanley Securities Co., Ltd. The issuing agent and paying agent is Resona Bank, Limited.\n\n### Use of Proceeds and Impact on Investors\nThe procured funds are scheduled to be allocated for bond redemption and loan repayments, contributing to maintaining financial soundness. The bonds are unsecured with a financial covenant restricting collateral provision. The credit rating assigned by Japan Credit Rating Agency, Ltd. is AA-, indicating limited credit risk for investors.","jir_financial_highlights":"Total Bond Amount: 30 billion yen (Unknown)\nInterest Rate: Annual 2.027% (Unknown)\nRedemption Date: March 12, 2031 (Unknown)","jir_category":"","jir_hashtags":"#PanPacificInternationalHoldings, #CapitalPolicy, #UnsecuredBonds","jir_key_figures":"Total Bond Amount: 30 billion yen\nInterest Rate: Annual 2.027%\nRedemption Date: March 12, 2031","jir_meta_title":"Pan Pacific International Holdings Corporation Issues 30 Billion Yen Unsecured Bonds at 2.027% Annual Interest","jir_meta_description":"Pan Pacific International Holdings Corporation has issued the 25th unsecured bonds worth 30 billion yen at an annual interest rate of 2.027%. The proceeds will be allocated to bond redemption and loan repayments.","jir_og_title":"Pan Pacific International Holdings Issues 30 Billion Yen Unsecured Bonds","jir_og_description":"The company issues the 25th unsecured bonds worth 30 billion yen at an annual rate of 2.027%, aiming to strengthen its financial position.","jir_og_image_url":"\/assets\/og\/company-general_ir.jpg","jir_chart_data_collection":"[]","ir_related_company":6901,"ir_release_date":"","ir_type":"","ir_is_new":false,"ir_document_url":"","jir_ir_type":"capital_policy","footnotes":""},"sector":[],"importance":[],"class_list":["post-33551","ir_release","type-ir_release","status-publish","hentry"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v24.7 - https:\/\/yoast.com\/wordpress\/plugins\/seo\/ -->\n<title>Notice Regarding Unsecured Bond Issuance - Japan IR<\/title>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/japanir.jp\/en\/company\/company-7532\/ir\/7532-20260306-01_wp_capital_policy\/\" \/>\n<script type=\"application\/ld+json\" class=\"yoast-schema-graph\">{\"@context\":\"https:\/\/schema.org\",\"@graph\":[{\"@type\":\"WebPage\",\"@id\":\"https:\/\/japanir.jp\/en\/company\/company-7532\/ir\/7532-20260306-01_wp_capital_policy\/\",\"url\":\"https:\/\/japanir.jp\/en\/company\/company-7532\/ir\/7532-20260306-01_wp_capital_policy\/\",\"name\":\"Notice Regarding Unsecured Bond Issuance - 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