{"id":62555,"date":"2026-06-09T15:43:57","date_gmt":"2026-06-09T06:43:57","guid":{"rendered":"https:\/\/japanir.jp\/en\/ir\/8876-20260609-01_wp_financial_summary\/"},"modified":"2026-06-09T15:43:57","modified_gmt":"2026-06-09T06:43:57","slug":"8876-20260609-01_wp_financial_summary","status":"publish","type":"ir_release","link":"https:\/\/japanir.jp\/en\/company\/company-8876\/ir\/8876-20260609-01_wp_financial_summary\/","title":{"rendered":"Notice of Redemption and Early Redemptions of Euro-Yen Convertible Bonds due 2027"},"content":{"rendered":"<p>Lifull Group executed the redemption and early redemptions of Euro-Yen convertible bonds due 2027 on June 9, 2026, with minimal impact on financial performance.<\/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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Group","jir_importance":"\u2605\u2605\u2605\u2606\u2606","jir_publication_date":"2026-06-09","jir_source_link":"https:\/\/japanir.jp\/wp-content\/uploads\/2026\/06\/8876-20260609-01.pdf","jir_short_summary":"Lifull Group executed the redemption and early redemptions of Euro-Yen convertible bonds due 2027 on June 9, 2026, with minimal impact on financial performance.","jir_summary":"### Overview of Capital Policy and Bond Redemptions\nLifull Group repurchased the Euro-Yen convertible bonds due 2027 on June 5, 2026, and completed the redemption on June 9, 2026. The redemption amount was 23,868 million yen, with remaining principal of 50 million yen. This aims to optimize the company's capital structure while expecting minimal impact on financial performance. Based on cleanup provisions, early redemptions were also performed, fully repaying all remaining bonds at face value.\n\n### Future Outlook and Investor Impact\nThe redemption and early redemptions reduce Lifull Group's financial burden and are expected to improve capital efficiency. The direct impact on financial results is limited, but as part of the company's capital policy, it may contribute to maintaining and enhancing creditworthiness. For investors, this strengthens financial health and draws attention to future capital policies and funding strategies.","jir_financial_highlights":"Total Redemption Amount: 23,868 million yen (Unknown)\nTotal Remaining Principal: 50 million yen (Unknown)\nTotal Issuance Amount: 23 billion yen (Unknown)","jir_category":"","jir_hashtags":"#LifullGroup, #IRFinancialResults, #JapanStocks","jir_key_figures":"Total Redemption Amount: 23,868 million yen\nTotal Remaining Principal: 50 million yen\nTotal Issuance Amount: 23 billion yen","jir_meta_title":"\u3010Lifull Group\u3011Bond Redemption and Early Redemptions\uff5cJune 2026","jir_meta_description":"Lifull Group carried out bond redemptions and early redemptions in June 2026, aiming to improve capital efficiency and reduce financial burden. Detailed information provided.","jir_og_title":"\u3010Lifull Group\u3011Bond Redemption and Capital Policy\uff5cJune 2026","jir_og_description":"Lifull Group completed bond redemptions and early redemptions in June 2026, progressing towards financial soundness. Details are explained.","jir_og_image_url":"\/assets\/og\/company-general_ir.jpg","jir_chart_data_collection":"[]","ir_related_company":8782,"ir_release_date":"","ir_type":"","ir_is_new":false,"ir_document_url":"","jir_ir_type":"financial_summary","footnotes":""},"sector":[],"importance":[],"class_list":["post-62555","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 of Redemption and Early Redemptions of Euro-Yen Convertible Bonds due 2027 - 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-8876\/ir\/8876-20260609-01_wp_financial_summary\/\" \/>\n<script type=\"application\/ld+json\" class=\"yoast-schema-graph\">{\"@context\":\"https:\/\/schema.org\",\"@graph\":[{\"@type\":\"WebPage\",\"@id\":\"https:\/\/japanir.jp\/en\/company\/company-8876\/ir\/8876-20260609-01_wp_financial_summary\/\",\"url\":\"https:\/\/japanir.jp\/en\/company\/company-8876\/ir\/8876-20260609-01_wp_financial_summary\/\",\"name\":\"Notice of Redemption and Early Redemptions of Euro-Yen Convertible Bonds due 2027 - 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