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Hon Hai Group
America
Mexico
Europe
Czech Republic
Slovakia
Credit Rating
Company Credit Rating
Rating AgencyRating dateLong-TermShort-TermOutlook
Standard & Poor's2023.11.30A--Stable
Taiwan Ratings*2023.11.30twAA+twA-1+Stable
*Taiwan Ratings (http://www.taiwanratings.com) is Standard & Poor's subsidiary in Taiwan.
Sustainability Linked Bond List
Issue
Tranche
Issue Date
Tenor (year)
Outstanding Amount (NT$ billions)
Coupon Rate(%)
112-year No. 4 Unsecured Ordinary Corporate Bond
*Note 1
A-Ticket2023/11/225141.72
B-Ticket791.74
Total outstanding amount as of 2026/01/15:23
**Sustainability-Linked Bond (SLB) refer to bonds where the payment terms of principal and interest are linked to the Company's Sustainability Performance Target (SPT). The SLB issued by the Company have been qualified as Sustainability-Linked Bond in accordance with the "Operation Directions for Sustainable Development Bonds" of the Taipei Exchange (TPEx), and have been listed for trading on the TPEx. For further details regarding the interest payment conditions, please refer to the Sustainable Development Bond section on the Taipei Exchange website.
Sustainability-Linked Bond
Issue
Tranche
Issue Date
Tenor (year)
Outstanding Amount (NT$ billions)
Coupon Rate(%)
Unsecured Corporate Bond 2024 2nd OfferingA-Ticket2024/04/253121.70
B-Ticket5501.80
C-Ticket731.84
D-Ticket10161.90
Unsecured Corporate Bond 2024 1nd OfferingA-Ticket2024/01/11391.68
B-Ticket5931.80
C-Ticket10121.90
Unsecured Corporate Bond 2023 3nd OfferingA-Ticket2023/09/14371.53
B-Ticket5631.65
C-Ticket7191.70
D-Ticket10631.81
Unsecured Corporate Bond 2023 2nd OfferingA-Ticket2023/07/05381.52
B-Ticket5621.62
C-Ticket7201.68
D-Ticket10341.83
Unsecured Corporate Bond 2023 1nd OfferingA-Ticket2023/04/213131.50
B-Ticket51261.62
C-Ticket7451.68
D-Ticket10291.85
Unsecured Corporate Bond 2022 3nd OfferingA-Ticket2022/10/213121.65
B-Ticket5671.75
C-Ticket731.80
D-Ticket1031.95
Unsecured Corporate Bond 2022 2nd OfferingA-Ticket2022/08/183321.60
B-Ticket5541.67
C-Ticket7131.70
D-Ticket1071.85
Unsecured Corporate Bond 2022 1nd OfferingA-Ticket2022/05/06321.05
B-Ticket5351.15
C-Ticket681.20
Unsecured Corporate Bond 2021 3nd OfferingA-Ticket2021/12/08380.55
B-Ticket5550.63
C-Ticket7400.72
D-Ticket10170.82
Unsecured Corporate Bond 2021 2nd OfferingA-Ticket2021/09/305260.51
B-Ticket71030.62
C-Ticket10240.70
D-Ticket1520.84
Unsecured Corporate Bond 2021 1nd OfferingB-Ticket2021/05/145210.54
C-Ticket7570.63
D-Ticket10220.73
E-Ticket1570.95
Unsecured Corporate Bond 2020 3nd OfferingA-Ticket2020/12/085180.53
B-Ticket6660.63
C-Ticket10340.68
D-Ticket1520.90
Unsecured Corporate Bond 2020 2nd OfferingA-Ticket2020/09/095290.69
B-Ticket7370.79
C-Ticket10140.90
D-Ticket1231.00
Unsecured Corporate Bond 2020 1nd OfferingA-Ticket2020/05/145190.80
B-Ticket7410.90
C-Ticket1061.00
Unsecured Corporate Bond 2019 2nd OfferingA-Ticket2020/01/095170.80
B-Ticket650.85
C-Ticket7240.92
D-Ticket10171.12
Unsecured Corporate Bond 2019 1nd OfferingB-Ticket2019/10/225190.80
C-Ticket650.86
D-Ticket7250.90
E-Ticket10101.10
Unsecured Corporate Bond 2018 2nd OfferingD-Ticket2018/07/27650.92
E-Ticket7231.00
J-Ticket10141.30
Unsecured Corporate Bond 2018 1nd OfferingD-Ticket2018/05/097321.05
E-Ticket10151.35
Unsecured Corporate Bond 2017 3nd OfferingC-Ticket2017/11/167201.35
D-Ticket10101.18
Unsecured Corporate Bond 2017 2nd OfferingJ-Ticket2017/08/087201.30
G-Ticket1071.52
Unsecured Corporate Bond 2017 1nd OfferingE-Ticket2017/05/171041.53
Unsecured Corporate Bond 2016 1nd OfferingG-Ticket2016/06/0710181.20
Unsecured Corporate Bond 2015 4nd OfferingG-Ticket2015/11/301011.75
X-Ticket1221.95
Unsecured Corporate Bond 2015 3nd OfferingX-Ticket2015/09/291232.00
Unsecured Corporate Bond 2015 2nd OfferingG-Ticket2015/06/241051.90
Unsecured Corporate Bond 2014 4nd OfferingD-Ticket2014/10/0810222.02
E-Ticket1222.15
Unsecured Corporate Bond 2014 3nd OfferingB-Ticket2014/07/0810601.95
Total outstanding amount as of 2026/01/15:1953
Outstanding Oversea Corporate Bonds
Issue
Issue Date
Tenor (year)
Currency
Outstanding Amount (NT$ billions)
Coupon Rate(%)
Unsecured Overseas Convertible Bonds due 2026***2021/8/55USD3.5380
Unsecured Overseas Convertible Bonds due 20292024/10/245USD70
Guaranteed Notes in USD due 2026****2016/9/2310USD43
Guaranteed Notes in USD due 2029****2019/3/1210USD34.25
Guaranteed Notes in USD due 2030****2020/10/2810USD62.5
Guaranteed Notes in USD due 2028****2021/8/57USD1.11.875
Guaranteed Notes in EUR due 2031****2025/11/46EUR6.53.125
The total outstanding amounts as of January 15, 2026 were USD 24.64 billion and EUR 6.5 billion, respectively.
***The original issue amount of this convertible bond was US$700 million; the amount presented represents the unconverted balance.
****Unconditionally and irrevocably guaranteed by Hon Hai Precision Industry Co., Ltd. under the U.S.$5,000,000,000 Medium Term Note Programme