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Update:October 1, 2014

City Bond Issuance Record

  • The following issuance conditions for Sapporo's publicly offered bonds are from the past 5 years.  Please note that all application periods are now closed.
  • The Issue Price is valued per 100 yen.
  • The yield, etc. varies by maturity term and the interest rate level at the time of pricing.
  • Note that publicly-offered municipal bonds  (Lilac Bond, Suzuran Bond)  differ from other city bonds in terms of purchase amount limit and who is permitted to permitted to purchase them.
  • Transitions in issuance conditions for publicly-offerd bonds can be found at the Japan Local Government Bond Association homepage.  (A portion of this page is members-only)

 Lilac bond (3 year maturity)

 Date of Issue

Issue Amount 

 Coupon

Issue Price 

Yield to Subscribers

Coupon Payment Date 

Maturity Date 

7/29/2014

¥3.0B

0.14%

¥100

0.140%

Jan.29, Jul.29

7/28/2017

7/30/2013

¥3.0B

0.21%

¥100

0.210%

Jan.30, Jul.30

7/29/2016

7/31/2012

¥3.0B

0.15%

¥100

0.150%

Jan.31, Jul.31

7/31/2015

7/29/2011

¥3.0B

0.28%

¥100

0.280%

Jan.29, Jul.29

7/29/2014

7/30/2010

¥3.0B

0.24%

¥100

0.240%

Jan.30, Jul.30

7/30/2013

7/31/2009

¥3.0B

0.50%

¥100

0.500%

Jan.31, Jul.31

7/31/2012

7/29/2008

¥3.0B

1.06%

¥100

1.060%

Jan.29, Jul.29

7/29/2011

 Suzuran bond (3 year maturity term)

Date of Issue

Issue Amount

Coupon

Issue Price

Yield to Subscribers

Coupon Payment Date

Maturity Date

2/26/2014

¥3.0B

0.16%

¥100

0.160%

Feb.26, Aug.26

2/25/2017

2/25/2013

¥3.0B

0.14%

¥100

0.140%

Feb.25, Aug.25

2/25/2016

2/27/2012

¥3.0B

0.22%

¥100

0.220%

Feb.27, Aug.27

2/27/2015

2/25/2011

¥3.0B

0.38%

¥100

0.380%

Feb.25, Aug.25

2/25/2014

2/25/2010

¥3.0B

0.36%

¥100

0.360%

Feb.25, Aug.25

2/25/2013

2/27/2009

¥3.0B

0.70%

¥100

0.700%

Feb.27, Aug.27

2/27/2012

 2 year maturity term

 Date of Issue

Issue Amount 

Coupon 

Issue Price 

Yield to Subscribers 

Coupon Payment Date 

Maturity Date 

9/28/2012

¥10B

0.13%

¥99.99

0.135%

Mar.20, Sep.20

9/19/2014

 5 year maturity term

 Date of Issue

Issue Amount 

Coupon 

Issue Price 

Yoeld to Subscribers 

Coupon Payment Date 

Maturity Date 

6/30/2014

¥10B

0.20%

¥99.98

0.204%

Jun.20, Dec.20

6/20/2019

3/28/2013

¥10B

0.20%

¥99.95

0.210%

Mar.20, Sep.20

3/20/2019

12/26/2013

¥10B

0.22%

¥99.95

0.230%

Jun.20, Dec.20

12/20/2018

6/28/2013

¥10B

0.31%

¥99.99

0.312%

Jun.20, Dec.20

6/20/2018

3/28/2013

¥10B

0.14%

¥99.99

0.142%

Mar.20, Sep.20

3/20/2018

12/27/2012

¥10B

0.20%

¥99.98

0.204%

Jun.20, Dec.20

12/20/2017

6/29/2012

¥10B

0.27%

¥99.99

0.272%

Jun.20, Dec.20

6/20/2017

3/23/2012

¥10B

0.35%

¥99.98

0.354%

Mar.20, Sep.20

3/17/2017

9/30/2011

¥10B

0.40%

¥99.97

0.406%

Mar.20, Sep.20

9/20/2016

5/31/2011

¥10B

 0.47%

¥99.97

0.476%

 Mar.20, Sep.20

3/18/2016 

 3/18/2011

¥10B

0.60% 

¥99.96

0.608% 

 Mar.20, Sep.20

 3/18/2016

 9/24/2010

¥10B

0.37% 

¥99.96

0.378% 

 Mar.20, Sep.20

9/18/2015

 5/31/2010

¥10B

0.49% 

¥99.98

0.494% 

 Mar.20, Sep.20

3/20/2015

 3/18/2010

¥10B

0.59% 

¥99.98

 0.594%

 Mar.20, Sep.20

3/20/2015

9/30/2009

¥10B

0.71%

¥99.99

0.712%

Mar.20, Sep.20

9/19/2014

6/30/2009

¥10B

0.94%

¥99.98

0.944%

Jun.20, Dec.20

6/20/2014

3/18/2009

¥20B

0.94%

¥99.96

0.948%

Mar.20, Sep.20

3/20/2014

9/30/2008

¥10B

1.18%

¥99.99

1.182%

Mar.20, Sep.20

9/20/2013

5/30/2008

¥10B

1.45%

¥99.97

1.456%

Mar.20, Sep.20

3/19/2013

 10 year maturity term

Date of Issue 

Issue Amount 

Coupon 

Issue Price 

Yield to Subscribers 

Coupon Payment Date 

Maturity Date 

8/29/2014

¥10B

0.54%

¥99.93

0.547%

Jun.20, Dec.20

6/20/2024

 2/28/2014

 ¥10B

0.68%

¥99.96

0.684% 

Jun.20, Dec.20

12/20/2023 

11/29/2013

 ¥10B

0.66%

¥100

0.660%

Mar.20, Sep.20

9/20/2023

 8/30/2013

 ¥10B

0.80%

¥99.99

0.801%

Jun.20, Dec.20

6/20/2023

 2/28/2013

 ¥10B

0.80%

¥100

0.800%

Jun.20, Dec.20

12/20/2022

 11/30/2012

 ¥10B

0.75%

¥99.93

0.757%

Mar.20, Sep.20

9/20/2022

 8/31/2012

 ¥10B

0.83%

¥99.96

0.834%

Jun.20, Dec.20

6/20/2022

2/29/2012 

 ¥10B

1.00%

¥99.95

1.005%

Jun.20, Dec.20

12/20/2021

11/30/2011 

 ¥10B

1.01%

¥100

1.010%

Mar.20, Sep.20

9/17/2021

8/31/2011 

 ¥10B

1.02%

¥99.91

1.030%

Jun.20, Dec.20

6/18/2021

2/25/2011 

 ¥10B

1.32%

¥100

1.320%

Jun.20, Dec.20

12/18/2020

11/30/2010 

 ¥10B

1.05%

¥99.95

1.055%

Mar.20, Sep.20

9/18/2020

8/27/2010 

 ¥10B

1.05%

¥99.97

1.053%

Jun.20, Dec.20

6/19/2020

12/25/2009 

 ¥10B

1.36%

¥99.95

1.365%

Jun.20, Dec.20

12/20/2019

10/30/2009 

 ¥10B

1.36%

¥99.95

1.365%

Mar.20, Sep.20

9/20/2019

5/29/2009 

 ¥10B

1.56%

¥99.92

1.569%

Mar.20, Sep.20

3/20/2019

12/19/2008 

 ¥10B

1.59%

¥100

1.590%

Jun.20, Dec.20

12/20/2018

10/31/2008 

 ¥10B

1.76%

¥99.91

1.770%

Mar.20, Sep.20

9/20/2018

6/27/2008 

 ¥10B

1.93%

¥100

1.930%

Jun.20, Dec.20

6/20/2018

 Other

30 year maturity term (for corporate investors)

 Date of Issue

Issue Amount 

Coupon 

Issue Price 

Yield to Subscribers 

Coupon Payment Date 

Maturity Date 

11/28/2011 

 ¥10B

2.097%

¥100

2.097%

Mar.20, Sep.20

9/20/2031

 3/11/2011

 ¥10B

2.318%

¥100

2.318%

 Mar.20, Sep.20

9/20/2030

 12/13/2010

 ¥10B

2.277%

¥100

 2.277%

Mar.20, Sep.20

 9/20/2030

20 year maturity term (for corporate investors)

Date of Issue Issue Amount Coupon Issue Price Yield to Subscribers Coupon Payment Date Maturity Date

5/27/2014

¥10B

1.524%

¥100

1.524%

May27, Nov.27

5/26/2034

3/17/2014

¥10B

1.530%

¥100

1.530%

Mar.17, Sep.17

3/17/2034

6/14/2013

¥10B

1.720%

¥100

1.720%

Jun.14, Dec.14

6/14/2033

 2/28/2013

¥5B

1.794%

¥100

1.794%

Feb.28, Aug.28

2/28/2033

 8/14/2012

¥10B

1.635%

¥100

1.635%

Feb.14, Aug.14

8/13/2032

 4/24/2012

¥10B

1.790%

¥100

1.790%

Apr.24, Oct.24

4/23/2032

 7/29/2011

¥15B

1.944%

¥100

1.944%

Jan.29, Jul.29

7/29/2031

 6/14/2010

¥10B

2.072%

¥100

2.072%

Jun.20, Dec.20

6/20/2030

12/14/2009

¥15B

2.08%

¥100

2.080%

Jun.20, Dec.20

12/20/2029

6/30/2009

¥15B

2.24%

¥99.90

2.247%

Jun.20, Dec.20

6/20/2029

12/16/2008

¥15B

2.24%

¥99.85

2.250%

Mar.20, Sep.20

9/21/2028

6/13/2008

¥10B

2.42%

¥99.92

2.425%

Jun.20, Dec.20

6/20/2028

・15 year maturity term (for corporate investors)

 Date of Issue

Issue Amount 

Coupon 

Issue Price 

Yield to Subscribers 

Coupon Payment Date 

Maturity Date

9/22/2014

¥10B

0.961%

¥100

0.961%

Mar.20, Sep.20

9/20/2029

8/20/2013

¥15B

1.310%

¥100

1.310%

Feb.18, Aug.18

8/18/2028

2/14/2012

¥15B

1.493%

¥100

1.493%

Feb.25, Aug.25

2/12/2027

・3 year maturity term (for corporate investors)

Date of Issue

Issue Amount

Coupon Issue Price

Yield to Subscribers

Coupon Payment Date

Maturity Date

9/17/2010

¥10B

0.222%

¥100

0.222%

Mar.20, Sep.20

9/20/2013