{"id":92113,"date":"2026-07-31T16:40:57","date_gmt":"2026-07-31T07:40:57","guid":{"rendered":"https:\/\/japanir.jp\/en\/ir\/8708-20260731-01_wp_financial_summary\/"},"modified":"2026-07-31T16:40:57","modified_gmt":"2026-07-31T07:40:57","slug":"8708-20260731-01_wp_financial_summary","status":"publish","type":"ir_release","link":"https:\/\/japanir.jp\/en\/company\/company-8708\/ir\/8708-20260731-01_wp_financial_summary\/","title":{"rendered":"Notice of Unsecured Bond Issuance 22nd Issue"},"content":{"rendered":"<p>Aizawa Securities Group will issue unsecured bonds totaling 800 million yen in August 2026, with repayment scheduled for August 2027. The funds will be used for working capital, investments, and repayment of existing debt.<\/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":"8708","jir_company_name":"Aizawa Securities Group Incorporated","jir_importance":"\u2605\u2605\u2606\u2606\u2606","jir_publication_date":"2026-07-31","jir_source_link":"https:\/\/japanir.jp\/wp-content\/uploads\/2026\/07\/8708-20260731-01.pdf","jir_short_summary":"Aizawa Securities Group will issue unsecured bonds totaling 800 million yen in August 2026, with repayment scheduled for August 2027. The funds will be used for working capital, investments, and repayment of existing debt.","jir_summary":"### Funding Overview\nAizawa Securities Group will issue a total of 800 million yen as the 22nd issue of unsecured bonds scheduled for August 2026, with repayment planned for August 2027. The bonds will carry an interest rate of 1.80% per annum and will be raised through general subscription. The funds will be allocated for working capital, investments, and repayment of existing debt. No collateral or guarantees are attached, and a net asset maintenance clause is included.\n\n### Use of Funds and Future Outlook\nThe funds raised will mainly be used for general working capital, investments, and repayment of existing debt, aiming to maintain financial stability and strengthen business operations. The repayment is scheduled for August 20, 2027. The company will continue to monitor funding plans and changes in financial conditions to ensure smooth fundraising and repayment planning, maintaining financial health.","jir_financial_highlights":"Total Bonds: 800 million yen (Unknown)\nInterest Rate: 1.80% per annum (Unknown)\nMaturity Date: August 20, 2027 (Unknown)","jir_category":"","jir_hashtags":"#AizawaSecuritiesGroupIncorporated, #Fundraising, #JapaneseStocks","jir_key_figures":"Total Bonds: 800 million yen\nInterest Rate: 1.80% per annum\nMaturity Date: August 20, 2027","jir_meta_title":"\u3010Aizawa Securities\u3011800 Million Yen Unsecured Bond Issuance\uff5cJuly 2026","jir_meta_description":"Aizawa Securities Group will issue unsecured bonds totaling 800 million yen in August 2026, with repayment scheduled for August 2027. Funds will be used for working capital and investments.","jir_og_title":"\u3010Aizawa Securities\u3011800 Million Yen Unsecured Bond Issuance\uff5cJuly 2026","jir_og_description":"Aizawa Securities has issued an unsecured bond of 800 million yen, scheduled for repayment in August 2027. Details on fund usage and conditions are provided.","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":"financial_summary","footnotes":""},"sector":[],"importance":[],"class_list":["post-92113","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 Unsecured Bond Issuance 22nd Issue - 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\/8708-20260731-01_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-8708\/ir\/8708-20260731-01_wp_financial_summary\/\",\"url\":\"https:\/\/japanir.jp\/en\/company\/company-8708\/ir\/8708-20260731-01_wp_financial_summary\/\",\"name\":\"Notice of Unsecured Bond Issuance 22nd Issue - 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