Bond Information

The Bank of Fukuoka

Unsecured Subordinated Bonds

Serial Number Share Price Rates Date of Issue Period of Redemption
6 10 billion yen 1.95% per annum *1 Dec. 22, 2011 Dec. 22, 2026 *2

Notes:
*1 The interest rate of the bond is 1.95% per annum until and including Dec. 22, 2021, and 6-month euro yen LIBOR + 2.42% after and excluding Dec. 22, 2021.

*2 Only redeemable on Dec. 22, 2021 before the period of redemption when approval is granted by Financial Service Agency.