OREANDA-NEWS. Central Japan Railway Company (the "Company") has determined the terms and conditions with respect to the issuance of the sixty-sixth series of domestic straight bonds, as follows:
1. Name of the Bonds
Central Japan Railway Company 66th Unsecured Straight Bonds
2. Aggregate Amount of the Bonds JPN 10 billion
3. Term 20 years
4. Interest Rate 1.629% per annum
5. Issue Price JPN 100 for each JPN 100 in principal amount of Bonds
6. Payment Date December 5, 2013
7. Redemption Date (Maturity) December 5, 2033