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auctions / 30Y / 2022-07-07

Official Result (MOF)

Auction Date2022-07-07
Issue Date2022-07-08
IssueJGB (30-Year) No. 75(new)
Coupon (%)1.3%
Maturity2052-06-20
Methodprice conventional
Offering¥900B
Competitive Bids¥2.3T
Accepted Amount¥723.1B
Lowest Accepted Price101.30(1.240%)
Weighted Avg Price101.43(1.234%)
Allotment Ratio
Non-competitive I¥175.8B
Non-competitive II¥50.5B

Source: https://www.mof.go.jp/jgbs/reference/appendix/jgb_historical_data.xls

Offering Terms (from MOF notice) documents →

Official name利付国庫債券(30年)(第75回)
Legal basis特別会計に関する法律(平成19年法律第23号)第46条第1項
Coupon dates毎年6月20日及び12月20日
Planned amount¥900B
Bid deadline2022-07-07 11:50
Payment date2022-07-08
Non-competitive IIheld
Price terms

Derived Metrics calc auction-v1 / auction-v2

ThisPrevavg (12)minmaxz
Bid/Cover3.253.113.232.903.63+0.08
Tail (sen)13138124+0.76
Non-competitive take-up23.8%23.5%
GradeD (score -0.34)(z(B/C) − z(tail))/2 bucketed A(≥1)/B(≥0.3)/C/D(≤−0.3)/E(≤−1), vs last 12 same-tenor
Yield tail (bp)0.60.6

Same-tenor Auction History

3.003.502021-072021-112022-032022-07
Auction DateIssueBid/CoverTail (sen)Avg Yield (%)
2022-07-07JGB (30-Year) No. 753.25131.234
2022-06-07JGB (30-Year) No. 743.11131.049
2022-05-12JGB (30-Year) No. 743.08241.015
2022-04-07JGB (30-Year) No. 743.05100.989
2022-03-03JGB (30-Year) No. 733.1250.893
2022-02-03JGB (30-Year) No. 733.4510.788
2022-01-07JGB (30-Year) No. 733.6310.719
2021-12-07JGB (30-Year) No. 723.21100.673
2021-11-09JGB (30-Year) No. 723.4570.683
2021-10-12JGB (30-Year) No. 722.9090.702
2021-09-07JGB (30-Year) No. 713.0070.653
2021-08-11JGB (30-Year) No. 713.07110.647
2021-07-06JGB (30-Year) No. 713.6330.680