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bonds / 20Y / JGB (20-Year) No. 98

Bond Information

NameJGB (20-Year) No. 98
ISIN
Issue #98
Coupon (%)2.1% semi-annual
Issue Date2007-11-30
Maturity2027-09-20 (Remaining 1.1y)
Outstanding¥1.2T (2026-03-31・MOF)
Total issued¥1.4T (annual report, FY-end)
Statutory basis特例借換前倒財投
STRIPS principal¥200M (2026-06-30)
SLF usagelast 30d / total ¥400M(last 2026-03-16・BOJ)
BOJ Holding¥641.8B(52.6%)(as of 2026-08-10・Source: BOJ・Ratios approximate due to differing as-of dates)
Statusactive

Results

Yield Calculator (price input)
Price:
Settlement:
Face Amount: JPY
Simple Yield2.100 %
Compound Yield2.0913 %
Accrued Interest0.897534 (156 days) per 100
Settlement Amount
Modified Duration1.05
Macaulay Duration1.06
DV01
Convexity1.6

Estimates based on the input price.

Cashflow Schedule

DateTypeAmount (per 100)
2026-09-20coupon1.050
2027-03-20coupon1.050
2027-09-20coupon + redemption101.050

Related Auctions

Auction DateBid/CoverTail (sen)Avg Yield (%)
2007-11-21new3.6532.062

Horizon total return settle 2026-08-23 ・ CMT 2026-08-20

CMT interpolated (rem 1.1y)1.449 % → ref. price 100.684
G-spread (vs interpolated CMT)
HorizonScenarioYield@HPrice@HCarryTotal returnAnn.
3m 2026-11-23-50bp0.930100.959-0.529-0.25%-1.00%
-25bp1.180100.752-0.529-0.45%-1.81%
Unchanged (roll-down)1.430100.547-0.529-0.66%-2.62%
+25bp1.680100.342-0.529-0.86%-3.43%
+50bp1.930100.138-0.529-1.06%-4.24%
6m 2027-02-23-50bp0.930100.6661.050+1.02%+2.03%
-25bp1.180100.5231.050+0.88%+1.75%
Unchanged (roll-down)1.430100.3801.050+0.74%+1.47%
+25bp1.680100.2381.050+0.59%+1.19%
+50bp1.930100.0961.050+0.45%+0.91%
12m 2027-08-23-50bp0.930100.0812.100+1.47%+1.47%
-25bp1.180100.0612.100+1.45%+1.45%
Unchanged (roll-down)1.430100.0422.100+1.44%+1.44%
+25bp1.680100.0232.100+1.42%+1.42%
+50bp1.930100.0042.100+1.40%+1.40%