November 29, 2017 Sony Financial Holdings Inc.

Notice Concerning the Issuance of No. 3 Straight Bonds

Tokyo, November 29, 2017-Sony Financial Holdings Inc. hereby announces that today it has determined the issuance conditions for its straight bonds, as outlined below.

1. Name

Sony Financial Holdings Inc. No. 3 Straight Bonds

2. Total amount

¥10 billion

3. Amount of each bond

¥100 million

4. Interest rate

0.110% per annum

5. Subscription amount

¥100 per each ¥100 of face value

6. Payment at maturity

¥100 per each ¥100 of face value

7. Redemption date and method

December 7, 2022, lump-sum payment at maturity

8. Interest payment dates

June 7 and December 7 of each year

9. Subscription date

December 7, 2017

10. Subscription method

Public offering

11. Collateral

These bonds are unsecured and carry no guarantees. Also, no particular assets have been placed in reserve to cover these bonds.

12. Financial covenants

"Negative pledge clause" attached

13. Underwriter

Mitsubishi UFJ Morgan Stanley Securities Co., Ltd., Nomura Securities Co., Ltd., Daiwa Securities Co. Ltd.

14. Transfer agent

Japan Securities Depository Center, Inc.

15. Financial, issuing and payment agent

Sumitomo Mitsui Banking Corporation

16. Issuer rating

AA- (Outlook "Stable") (Rating and Investment Information, Inc.)

17. Use of funds

Sony Financial Holdings plans to use the funds for redemptions of outstanding interest-bearing debt.

Note: This press release is announced to notify the Company's issuance of No. 3 straight bonds. The information contained in this press release does not constitute or form part of any offer for sale or subscription of or solicitation or invitation of any offer to buy or subscribe for any securities, nor shall it or any part of it form the basis of or be relied on in connection with any contract or commitment whatsoever.

For inquiries:

Corporate Communications Dept. Sony Financial Holdings Inc.

Telephone: +81-3-5290-6500 E-mail: press@sonyfh.co.jp

Website of Sony Financial Holdings Inc.: http://www.sonyfh.co.jp/index_en.html

Sony Financial Holdings Inc. published this content on 29 November 2017 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 29 November 2017 06:12:01 UTC.

Original documenthttp://www.sonyfh.co.jp/en/news/article/171129_01.pdf

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