{"id":44355,"date":"2026-04-30T16:21:32","date_gmt":"2026-04-30T07:21:32","guid":{"rendered":"https:\/\/japanir.jp\/en\/ir\/8708-20260430-01_wp_capital_policy\/"},"modified":"2026-04-30T16:21:32","modified_gmt":"2026-04-30T07:21:32","slug":"8708-20260430-01_wp_capital_policy","status":"publish","type":"ir_release","link":"https:\/\/japanir.jp\/en\/company\/company-8708\/ir\/8708-20260430-01_wp_capital_policy\/","title":{"rendered":"Notice Regarding the Issuance of the 19th Unsecured Bonds"},"content":{"rendered":"<p>Aizawa Securities Group Inc. will issue the 19th unsecured bonds totaling 800 million yen at an annual interest rate of 1.70%, with a redemption date of May 21, 2027.<\/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 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Inc.","jir_importance":"\u2605\u2605\u2605\u2606\u2606","jir_publication_date":"2026-04-30","jir_source_link":"https:\/\/japanir.jp\/wp-content\/uploads\/2026\/04\/8708-20260430-01.pdf","jir_short_summary":"Aizawa Securities Group Inc. will issue the 19th unsecured bonds totaling 800 million yen at an annual interest rate of 1.70%, with a redemption date of May 21, 2027.","jir_summary":"### Overview of the Unsecured Bond Issuance\nAizawa Securities Group Inc. has resolved to issue the 19th unsecured bonds totaling 800 million yen in units of 1 million yen. The interest rate is 1.70% per annum, with a redemption date of May 21, 2027 (approximately a 1-year bond). The payment period is from May 1, 2026, to May 21, 2026, with the payment date set for May 22, 2026. These bonds are unsecured and unguaranteed, but include a net assets maintenance clause. The offering method is a public offering, and the handling company is Aizawa Securities Co., Ltd.\n\n### Use of Proceeds and Management System\nThe funds raised will be allocated to general working capital, investment and loan funds including those for consolidated subsidiaries, and repayment of existing debts. The bond registrar and financial agent is Aizawa Securities Co., Ltd., and the bond administrator is First Trust & Custody Co., Ltd. There is no underwriting company, and applications can be submitted at the head office and domestic branches of the handling company.","jir_financial_highlights":"Total Bond Amount: 800 million yen (Unknown)\nInterest Rate: 1.70% per annum (Unknown)\nRedemption Date: May 21, 2027 (1-year bond) (Unknown)","jir_category":"","jir_hashtags":"#AizawaSecuritiesGroupInc, #CapitalPolicy, #UnsecuredBonds","jir_key_figures":"Total Bond Amount: 800 million yen\nInterest Rate: 1.70% per annum\nRedemption Date: May 21, 2027","jir_meta_title":"[Aizawa Securities Group] Issuance of 19th Unsecured Bonds totaling 800 million yen | May 2026","jir_meta_description":"Aizawa Securities Group Inc. issues the 19th unsecured bonds totaling 800 million yen at an annual interest rate of 1.70%. The redemption date is May 21, 2027, and proceeds will be used for working capital and repayment of existing debts.","jir_og_title":"[Aizawa Securities Group] Issuance of 19th Unsecured Bonds totaling 800 million yen | May 2026","jir_og_description":"Aizawa Securities Group issues the 19th unsecured bonds totaling 800 million yen with a 1.70% interest rate, redeemable on May 21, 2027. Use of funds includes working capital.","jir_og_image_url":"\/assets\/og\/company-general_ir.jpg","jir_chart_data_collection":"[]","ir_related_company":17280,"ir_release_date":"","ir_type":"","ir_is_new":false,"ir_document_url":"","jir_ir_type":"capital_policy","footnotes":""},"sector":[],"importance":[],"class_list":["post-44355","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 the Issuance of the 19th Unsecured Bonds - 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-8708\/ir\/8708-20260430-01_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-8708\/ir\/8708-20260430-01_wp_capital_policy\/\",\"url\":\"https:\/\/japanir.jp\/en\/company\/company-8708\/ir\/8708-20260430-01_wp_capital_policy\/\",\"name\":\"Notice Regarding the Issuance of the 19th Unsecured Bonds - 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