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Hitachi

Hitachi Transport System

Corporate Bonds and Ratings

Corporate Bonds

As of September 15, 2016

  Unsec. Str. Bonds No.3 Unsec. Str. Bonds No.4 Unsec. Str. Bonds No.5
Date of Issue September 28, 2016 September 28, 2016 September 28, 2016
Annual Interest Rate 0.100% 0.330% 0.750%
Total Amount of Issue 10,000 million yen 10,000 million yen 10,000 million yen
Outstanding Balance 10,000 million yen 10,000 million yen 10,000 million yen
Redemption Date September 28, 2021 September 28, 2026 September 26, 2031

Ratings

Rating agency Ratings Date
Rating and Investment Information, Inc. (R&I)
Issuer Rating: A
Rating Outlooks: Stable
December 7, 2017