Bonds & Ratings
Bonds
Name | Issue Date | Issue Amount | Initial Interest Rate | Maturity Date |
---|---|---|---|---|
Sumitomo Pharma Co., Ltd. 1st unsecured subordinated bonds with interest payment deferrable clause and optional early redemption conditions |
September 10, 2020 | ¥60 billion | 1.39% per annum | September 9, 2050 *1 |
Sumitomo Pharma Co., Ltd. 2nd unsecured subordinated bonds with interest payment deferrable clause and optional early redemption conditions |
September 10, 2020 | ¥60 billion | 1.55% per annum | September 9, 2050 *2 |
- *1Sumitomo Pharma may redeem the Hybrid Bonds at its discretion on each interest payment date from and including September 10, 2027, or in case a tax event or an equity credit change event occurs.
- *2Sumitomo Pharma may redeem the Hybrid Bonds at its discretion on each interest payment date from and including September 10, 2030, or in case a tax event or an equity credit change event occurs.
Ratings
More detailed information is available on the rating organizationʼs website.
As of April 2, 2025
Rating Organization | Rating & Outlook |
---|---|
A-, Negative |