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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Tdk Corp | NYSE:TDK | NYSE | Ordinary Share |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 0.00 | - |
Form 20-F þ | Form 40-F o |
Yes o | No þ |
1. | TDK Corporation 2nd Series Unsecured Straight Bonds (With Special Inter-Bond Pari Passu Clause) |
1.
|
Total amount of bond issuance | 23.0 billion yen | ||
2.
|
Denomination per bond | 0.1 billion yen | ||
3.
|
Book-entry transfer system application | The bonds are subject to regulations concerning the transfer of securities, bonds, etc. | ||
4.
|
Coupon rate | 1.085% per annum | ||
5.
|
Issue price | 100 yen per face value of 100 yen | ||
6.
|
Redemption price | 100 yen per face value of 100 yen | ||
7.
|
Term and redemption methods | 3 years | ||
|
① Redemption on maturity | The bond principal will be redeemed in full on January 30, 2012 | ||
|
② Retirement by purchase retirement | The bonds can be repurchased and retired at any time from the day following the payment date | ||
8.
|
Interest payment date | On January 30 and July 30 every year (First interest payment: July 30, 2009) | ||
9.
|
Offering period | January 23, 2009 | ||
10.
|
Payment date | January 30, 2009 | ||
11.
|
Type of offering | Public offering | ||
12.
|
Collateral and guarantee | The bonds are not secured by any property or guarantee, nor have assets been specially pledged as collateral for these bonds. | ||
13.
|
Financial covenants | Terms restricting the provision of collateral are attached | ||
14.
|
Underwriters | Nomura Securities Co., Ltd., Daiwa Securities SMBC Co. Ltd., Nikko Citigroup Limited., The Goldman Sachs Group, Inc. | ||
15.
|
Finance, issue and payment agent | Resona Bank, Limited | ||
16.
|
Book-entry transfer institution | Japan Securities Depository Center, Inc. | ||
17.
|
Rating | AA- (Rating and Investment Information, Inc.) |
1
2. | TDK Corporation 3rd Series Unsecured Straight Bonds (With Special Inter-Bond Pari Passu Clause) |
1.
|
Total amount of bond issuance | 48.0 billion yen | ||
2.
|
Denomination per bond | 0.1 billion yen | ||
3.
|
Book-entry transfer system application | The bonds are subject to regulations concerning the transfer of securities, bonds, etc. | ||
4.
|
Coupon rate | 1.413% per annum | ||
5.
|
Issue price | 100 yen per face value of 100 yen | ||
6.
|
Redemption price | 100 yen per face value of 100 yen | ||
7.
|
Term and redemption methods | 5 years | ||
|
① Redemption on maturity | The bond principal will be redeemed in full on January 30, 2014 | ||
|
② Retirement by purchase retirement | The bonds can be repurchased and retired at any time from the day following the payment date | ||
8.
|
Interest payment date | On January 30 and July 30 every year (First interest payment: July 30, 2009) | ||
9.
|
Offering period | January 23, 2009 | ||
10.
|
Payment date | January 30, 2009 | ||
11.
|
Type of offering | Public offering | ||
12.
|
Collateral and guarantee | The bonds are not secured by any property or guarantee, nor have assets been specially pledged as collateral for these bonds. | ||
13.
|
Financial covenants | Terms restricting the provision of collateral are attached | ||
14.
|
Underwriters | Nomura Securities Co., Ltd., Daiwa Securities SMBC Co. Ltd., Nikko Citigroup Limited., The Goldman Sachs Group, Inc. | ||
15.
|
Finance, issue and payment agent | Resona Bank, Limited | ||
16.
|
Book-entry transfer institution | Japan Securities Depository Center, Inc. | ||
17.
|
Rating | AA- (Rating and Investment Information, Inc.) |
2
3. | TDK Corporation 4th Series Unsecured Straight Bonds (With Special Inter-Bond Pari Passu Clause) |
1.
|
Total amount of bond issuance | 13.0 billion yen | ||
2.
|
Denomination per bond | 0.1 billion yen | ||
3.
|
Book-entry transfer system application | The bonds are subject to regulations concerning the transfer of securities, bonds, etc. | ||
4.
|
Coupon rate | 2.038% per annum | ||
5.
|
Issue price | 100 yen per face value of 100 yen | ||
6.
|
Redemption price | 100 yen per face value of 100 yen | ||
7.
|
Term and redemption methods | 10 years | ||
|
① Redemption on maturity | The bond principal will be redeemed in full on January 30, 2019 | ||
|
② Retirement by purchase retirement | The bonds can be repurchased and retired at any time from the day following the payment date | ||
8.
|
Interest payment date | On January 30 and July 30 every year (First interest payment: July 30, 2009) | ||
9.
|
Offering period | January 23, 2009 | ||
10.
|
Payment date | January 30, 2009 | ||
11.
|
Type of offering | Public offering | ||
12.
|
Collateral and guarantee | The bonds are not secured by any property or guarantee, nor have assets been specially pledged as collateral for these bonds. | ||
13.
|
Financial covenants | Terms restricting the provision of collateral are attached | ||
14.
|
Underwriters | Nomura Securities Co., Ltd., Daiwa Securities SMBC Co. Ltd., Nikko Citigroup Limited., The Goldman Sachs Group, Inc. | ||
15.
|
Finance, issue and payment agent | Resona Bank, Limited | ||
16.
|
Book-entry transfer institution | Japan Securities Depository Center, Inc. | ||
17.
|
Rating | AA- (Rating and Investment Information, Inc.) |
3
TDK Corporation
(Registrant) |
||||
January 23, 2009 | BY: | /s/ Tatsuhiko Atsumi | ||
Tatsuhiko Atsumi | ||||
General Manager of
Corporate Communications Department |
||||
1 Year T D K Chart |
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