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        For Investors

        Location
        TOP > For Investors > Ratings and Bond Information

        Ratings Information

        (As of June 24, 2019)

          Long Term Credit Rating Short Term Credit Rating
        Standard & Poor's (S&P) A- A-2
        Moody's Japan (Moody's) A3 P-2
        Rating and Investment Information, Inc. (R&I) A+ a-1
        • For details of rating sources, please confirm each individual rating company.

         

        Bond Information

        Outstanding Public Bonds (NML / NFS / NMAC)

        Issuer
        Nissan Motor Co., Ltd.
        Straight Bonds
        As of May 31, 2019
        Description Date of Issuance Amount
        (Millions of Yen)
        Interest rate Maturity
        53rd unsecured bonds Apr. 28, 2010 20,000 1.744% Apr. 28, 2020
        56th unsecured bonds Apr. 25, 2013 10,000 0.554% Mar. 19, 2020
        58th unsecured bonds Apr. 25, 2014 20,000 0.779% Mar. 19, 2024
        59th unsecured bonds Apr. 15, 2016 80,000 0.150% Mar. 19, 2021
        60th unsecured bonds Apr. 15, 2016 25,000 0.220% Mar. 20, 2023
        61st unsecured bonds Apr. 15, 2016 20,000 0.330% Mar. 19, 2026

        NML Bond Maturity Profile (from June 2019 onward)

        (Millions of Yen)

        (As of May 31, 2019)

        Issuer
        Nissan Financial Services (NFS)
        Straight Bonds
        As of May 31, 2019
        Description Date of Issuance Amount
        (Millions of Yen)
        Interest rate Maturity
        28th unsecured bonds Jul. 18, 2014 15,000 0.253% Jun. 20, 2019
        30th unsecured bonds Dec. 5, 2014 10,000 0.212% Dec. 20, 2019
        31st unsecured bonds Dec. 5, 2014 10,000 0.335% Dec. 20, 2021
        33rd unsecured bonds Apr. 23, 2015 10,000 0.222% Mar. 19, 2020
        35th unsecured bonds Jul. 17, 2015 10,000 0.302% Jun. 19, 2020
        37th unsecured bonds Dec. 4, 2015 10,000 0.261% Dec. 18, 2020
        38th unsecured bonds Jul. 14, 2016 75,000 0.001% Jun. 20, 2019
        39th unsecured bonds Jul. 14, 2016 25,000 0.060% Jun. 18, 2021
        40th unsecured bonds Oct. 14, 2016 40,000 0.001% Mar. 19, 2020
        41st unsecured bonds Oct. 14, 2016 10,000 0.030% Sep. 17, 2021
        42nd unsecured bonds Mar. 2, 2017 30,000 0.001% Sep. 18, 2020
        43rd unsecured bonds Mar. 2, 2017 10,000 0.090% Mar. 18, 2022
        44th unsecured bonds July. 19, 2017 60,000 0.030% Jun. 19, 2020
        45th unsecured bonds July. 19, 2017 20,000 0.070% Jun. 20, 2022
        46th unsecured bonds Dec. 22, 2017 20,000 0.130% Dec. 18, 2020
        47th unsecured bonds Dec. 22, 2017 10,000 0.230% Dec. 20, 2022
        48th unsecured bonds Mar. 26, 2018 25,000 0.100% Mar. 19, 2021
        49th unsecured bonds Mar. 26, 2018 15,000 0.200% Mar. 20, 2023
        50th unsecured bonds Oct. 19, 2018 35,000 0.100% Dec. 20, 2021
        51st unsecured bonds Oct. 19, 2018 25,000 0.200% Dec. 20, 2023

        NFS Bond Maturity Profile (from June 2019 onward)

        (Millions of Yen)

        (As of May 31, 2019)

        Issuer
        Nissan Motor Acceptance Corporation
        Global Dollar Bonds under Rule 144A / Regulation S : As of May 31, 2019
        Description Date of Issuance Amount
        (Millions of dollar)
        Interest rate Maturity
        US-Medium Term Note Mar. 3, 2015 500 2.125% Mar. 3, 2020
        US-Medium Term Note Mar. 9, 2016 500 2.550% Mar. 8, 2021
        US-Medium Term Note Sep. 14, 2016 500 1.550% Sep. 13, 2019
        US-Medium Term Note Sep. 14, 2016 500 1.900% Sep. 14, 2021
        US-Medium Term Note Sep. 14, 2016 500 3ML+52bps Sep. 13, 2019
        US-Medium Term Note Jan. 13, 2017 750 2.250% Jan. 13, 2020
        US-Medium Term Note Jan. 13, 2017 500 2.800% Jan. 13, 2022
        US-Medium Term Note Jan. 13, 2017 250 3ML+58bps Jan. 13, 2020
        US-Medium Term Note Jan. 13, 2017 500 3ML+89bps Jan. 13, 2022
        US-Medium Term Note Jul. 13, 2017 650 2.150% Jul. 13, 2020
        US-Medium Term Note Jul. 13, 2017 450 2.650% Jul. 13, 2022
        US-Medium Term Note Jul. 13, 2017 350 3ML+39bps Jul. 13, 2020
        US-Medium Term Note Jul. 13, 2017 300 3ML+65bps Jul. 13, 2022
        US-Medium Term Note Sep. 28, 2017 550 2.150% Sep. 28, 2020
        US-Medium Term Note Sep. 28, 2017 300 3ML+39bps Sep. 28, 2020
        US-Medium Term Note Sep. 28, 2017 700 2.600% Sep. 28, 2022
        US-Medium Term Note Sep. 28, 2017 450 3ML+69bps Sep. 28, 2022
        US-Medium Term Note Mar. 20, 2018 300 3.150% Mar. 15, 2021
        US-Medium Term Note Mar. 20, 2018 250 3ML+52bps Mar. 15, 2021
        US-Medium Term Note Mar. 20, 2018 300 3.450% Mar. 15, 2023
        US-Medium Term Note Sep. 21, 2018 400 3.650% Sep. 21, 2021
        US-Medium Term Note Sep. 21, 2018 400 3ML+63bps Sep. 21, 2021
        US-Medium Term Note Sep. 21, 2018 500 3.875% Sep. 21, 2023

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