Information about bond credit ratings and analyst coverage.

Bond / Rating

Rating and Investment Information, Inc., assigns the following credit ratings to KITZ.

Acquisition Date Credit Rating Summary of Obligations Covered by Ratings
March 1, 2018 A - Fourth issue of unsecured bonds (with limited inter-bond pari passu clause)
Issue amount: ¥10 billion
Issue date: March 8, 2018
Maturity date: March 7, 2025
[Reference] Issuer rating: A - (Rating Outlook:Stable)
June 14, 2017 A - (Stable) Issuer rating
October 5, 2016 A - (Stable) Shelf registration for bonds
Type of security to be sold: Corporate bond
Maximum amount: ¥20 billion
Planned issuance period: October 5, 2016 to October 4, 2018
May 26, 2016 A - (Stable) Issuer rating
September 9, 2015 A - (Stable) Third issue of unsecured bonds (with limited inter-bond pari passu clause)
Issue amount: ¥10 billion
Issue date: September 16, 2015
Maturity date: September 16, 2022
April 17, 2015 A - (Stable) Issuer rating
October 3, 2014 A - (Stable) Shelf registration for bonds
Type of security to be sold: Corporate bond
Maximum amount: ¥20 billion
Planned issuance period: October 5, 2014 to October 4, 2016
April 15, 2014 A - (Stable) Issuer rating
June 5, 2013 A - (Stable) Issuer rating
October 5, 2012 A - (Stable) Shelf registration for bonds
Type of security to be sold: Corporate bond
Maximum amount: ¥20 billion
Planned issuance period: October 5, 2012 to October 4, 2014
June 8, 2012 A - (Stable) Issuer rating
June 16, 2011 A - (Stable) Issuer rating
December 3, 2010 A - (Stable) Second issue of unsecured bonds (with limited inter-bond pari passu clause)
Total amount of issue: ¥6 billion
Bond Price: ¥100 million
Issue Price: ¥100 for each ¥100 of bonds (or: at par value (¥100))
Interest rate: 0.72%
Interest date: Every June 10, December 10
Issue date: December 10, 2010
Maturity date: December 10, 2015
Redemption method: Full redemption upon maturity
October 5, 2010 A - (Stable) Shelf registration for bonds
Type of security to be sold: Corporate bond
Maximum amount: ¥20 billion
Planned issuance period: October 5, 2010 to October 4, 2012
April 12, 2010 A - (Maintain) Issuer rating

Japan Credit Rating Agency, Ltd., assigns the following credit ratings to KITZ.

Acquisition Date Credit Rating Summary of Obligations Covered by Ratings
June 15, 2016 A - (Positive) Long-term Issuer Rating
May 1, 2015 A - (Stable) Long-term Issuer Rating
June 4, 2014 A - (Stable) Long-term Issuer Rating
April 2, 2013 A - (Stable) Long-term Issuer Rating
April 25, 2012 A - (Stable) Issuer rating
Senior debts
May 27, 2011 A - (Stable) Issuer rating
First issue of unsecured bonds (with limited inter-bond pari passu clause)
April 28, 2010 A - (Stable) Issuer rating
First issue of unsecured bonds (with limited inter-bond pari passu clause)

Analyst Coverage

Company Name
Daiwa Securities Co. Ltd. Hirosuke Tai
CLSA Securities Japan Co., Ltd. Toshihiro Noguchi
Tachibana Securities Co. Ltd. Yoshikazu Shimada

Note:
This list is subject to change as coverage is either added or dropped by a firm. Please note that this is list has been compiled by KITZ, that there are, in fact, other analysts reporting on KITZ, and that the table does not always show the most updated list of the analysts covering KITZ.
Analysts, whether or not they are listed or not in this table, analyze KITZ’ performance, businesses, products, and technologies, and make forecasts. Neither KITZ nor its management is involved in any process of making these analyses and forecasts.
This list’s its objective is the provision of information to shareholders, investors, and other visitors regarding analysts who make recommendations and reports concerning KITZ, and their firms. It is neither an offer nor a solicitation to purchase or sell KITZ stock.


Related Contents

Bond Information, Credit Rating