Bond Toyota Financial Services (Netherlands) BV 1.375% ( XS2001192231 ) in GBP

Issuer Toyota Financial Services (Netherlands) BV
Market price 100 %  ⇌ 
Country  Japan
ISIN code  XS2001192231 ( in GBP )
Interest rate 1.375% per year ( payment 1 time a year)
Maturity 23/05/2023 - Bond has expired



Prospectus brochure of the bond Toyota Motor Finance (Neth.)BV XS2001192231 in GBP 1.375%, expired


Minimal amount /
Total amount /
Detailed description Toyota Motor Finance (Netherlands) B.V. is a subsidiary of Toyota Financial Services Corporation, providing financial services, including financing and leasing, for Toyota and Lexus vehicles in the Netherlands.

The Bond issued by Toyota Financial Services (Netherlands) BV ( Japan ) , in GBP, with the ISIN code XS2001192231, pays a coupon of 1.375% per year.
The coupons are paid 1 time per year and the Bond maturity is 23/05/2023







CONFORMED COPY
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Final Terms
Dated 21May 2019
TOYOTA MOTOR FINANCE (NETHERLANDS) B.V
Legal Entiy Identifer (" "): 72450OPA8GZSQUNSR96
Isue ofGBP 30,0Euro u,nMd0eir 1ut.3hme7
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TVo. r0eogr sdue 23May 203
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PART A­ CONTRACTUAL TERMS
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1. (i) Isuer:
Toyta Motr Finace (Nethrlands) B.V
(i) Credit Suport Providers: Toyta MFiontarn cCioalr pSoeravticoens Corporation
2. (i) Seris Number:
29
(i) Tranche Number: 1
3. Specifed Curency:
Pounds Sterling ("GBP")



4. Agregate Nominal Amount:
(i) Seris:
GBP 30,0,0
(i) Tranche:
GBP 30,0,0
5. Isue Price:
9A.7m0o6u ntper cent. of the Agregate Nominal
6. (i) Specifed Denominations: GBP GbBeG P1,0BPi9 s1u,0 0i9en9,d0 .e xcaNen0 wiosdt hNthi oenart se ogifnrad uledp neoftiomnmautninltavdte ipnleofcno rs umda ionf wboglv e
(i) Calcuation Amount: GBP 1,0
7. (i) Isue Date:
23 May 2019
(i) Interst Com encemnt Date: Isue Date
8. Maturity Date:
23 May 203
9. Interst Basi:
1.375 per cent. Fixed Rate
(Se pargaph 16below)
10. Redmption Basi:
Redmption atpar
1. Change ofInterst Basi:
Not Aplicable
12. Put/Cal Options:
Not Aplicable
13. (i) Staus ofthe Notes: Senior
(i) Nature ofthe Credit Suport: StehS e"RptPeealmrbtienor "2sh01ipn8 otfhTe FS Parnosdp ethcu sIudearts dwith1 4
14. DaNtoe Bsoabrtd ianpedr: oval for isuance of 1 Septmber 2018
15. NCegoantdiveo Pnle3:d ge covenat set out in Not Aplicable
PROVISONS RELATING TO INTEREST (IF ANY) PAYABLE
16. Fixed Rate Note Provisons Aplicable
(i) Fixed Rate(s) ofInterst: 1a.3ir7ne5bcula rtupe edorxin cclgu,e andttih.neg Ip,ne thtr ea rnesMta uPmtCa uroypamyitey nDtba letcD e.atn menfutra olmyDat aientd o,
(i) Interst Payment Date(s): 23M DaMBytayfueodrsu i 2 a0ind2nupejnabdtsuj,r i etuaepcutoDdshdte a hyit oye e n,eadF. inCarxde ocn ncdfd voaerionmCtneosacu.il, p ouaneoF, dinwno riAttg h,imh ntchleuoeu nona dinFMgt vaosodhijlat, duour2als ntwit3 ymnrceeg mot aifn
(i) Fixed Coupon Amount(s): GtBoG PoBt1fo Ph3Inrt e.h4tmeer),75 p12Ne,e N5ost pt,or0t aePys0C sa(alcybapmleiue prl nationt aiAcgdnnagDnbatulreeaef A. l gtaimyo teot vueihNnt ne omf(aNaroiortnrpeamlaslr )icabiAno mlngone ludoebatcl h
(iv) Broken Amount(s): Not Aplicable
(v) Fixed Day Count Fraction: Actual/Actual (ICMA)
(vi) Detrmination Date(s): 23 May ineach year

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17. Floating Rate Note Provisons Not Aplicable
18. Zero Coupon Note Provisons Not Aplicable
PROVISONS RELATING TO REDEMPTION
19. Isuer Cal Option
Not Aplicable
20. Isuer Maturity Par Cal Option Not Aplicable
21. Isuer Make-Whole Cal Option Not Aplicable
2. Investor Put Option
Not Aplicable
23. Final Redmption Amount GBP 1,0 per Calcuation Amount
24. Early Redmption Amount
Eraedly
GBP 1,0 per Calcuation Amount
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GENERAL PROVISONS APLICABLE TO THE NOTES
25. Form ofNotes:
Bear Notes

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26. New Global Note:
Yes
27. Aditonal Finacial Centre(s): Not Aplicable
28. Ttao ldnefsi otri fvuetNreo Cso:upons tobe atched No
29. RdeifCorendncite ofCnrour5m(h enUc):S yd Eolquarisv alsent (iofut n Not Aplicable
30. Dfreoinm etdhae rsmts /oSupt oinRCaoten d(ifdoin f5e(rh)n:t Not Aplicable

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31. Ccalpcuu
Not Aplicable
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32. RpMurBp oSset lofmeCnot Cdienotres (5) afora nthde5 (): Not Aplicable
3. Sient lComnedit o(infd5ifh)e:r nt from tha set out Not Aplicable
34. Relvant Benchmark:
Not Aplicable
RESPONSIBLITY
The Isuer acepts responsiblity for the information contained inthes Final Terms.
Signed onbehalf othe Isuer:
TOYOTA MOTOR FINANCE (NETHERLANDS) B.V
By: HIROYASU ITO
Name: Hiroyasu Ito
Title: CEO
Duly authorised
c :The Bank ofNew York Melon, acting through itsLondon branch


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PART B­ OTHER INFORMATION
1. LISTING AND ADMISION TO TRADING
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2. RATINGS

Credit Ratings:
The Notes tobe isued are xpectd tobe rated:

Mody's Japn K. ("Mody's Japn"): Aa3

SJ&aPp nGIlonbc.a (l"RStaindgasr, dac&tinPgo trh'soJuagph nS"&): PAGl- obal Ratings

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3. INTEREST OF NATURAL AND LEGAL PERSONS INVOLVED IN THE ISUE
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4. Fixed Rate Notes only -YIELD
Indication fyield: 1.451 per cent. per anum
Ctahlec Iusated Dast e.h yield tomaturity ona nual basi on
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5. REASONS FOR THE OFER
Reasons for the ofer: A1s4 Set pouet mibner" U20se1 8ofProceds" inthe Prospectus dated
6. OPERATIONAL INFORMATION
(i) ISN:
XS2019231
(i) Com on Code: 201923

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(i) CFI Code:
DTAosFrN XouaclmtiBaebr, enoariansntiougv efAl pdNayg teseidno,cun y ratclhesadNet ut afsrmoobusimeg rtneti onhgd et thrAhege s IpnwSocIieNsb sb il(tee" AoNfathtiAeo" n)al
(iv) FISN:
TsOeNtY OfruoaomuTsmbt Asi egtroMnhin ed gtrtOhTeeA OhsgwRe peIon FSncbIsNisIei/ bl t1ee(EM"oAf TNatNhtiNe oA20na"l)A s3o0Nru o5acmli2ta3ber, oarnsiantugiop vfeAl dayNteg esdnoi,o acuyrns ctelhda
(v) AontyBh
Not Aplicable
CaecSlnr li.ekteahadAe.rSrinn statArine/ gENusfidaVryc tmah oacttieBnlemo radnen ar(s) lnekuvinagmbt er(s):
(vi) Delivery:
Delivery aginst payment
(vi) NadmAgieets noan(sd)l a(Pifd yairensyg): of Not Aplicable
(vi) Dceflmo
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Cra otienhnddeg i tpseyliuorinptver omy1s6 e (snofNot fit ces ices):
ar
(ix) Inmtea
Yes
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7. DISTRIBUTION
(i) Method fdistrbution: Syndicated
(i) If syndicated:
(a) Names ofMangers: BaLnlrcMool yaS(eUdyLaFs ntecGBaahd aSa endM"ckeaJu rCP, noraintoLS.getirCA epsrLo rs"eEat)aMe dEMAMaaprnlkaceg tsplc er" and togethr, the "Joint
( b)D PautAregc ohfeasSeym ndicate ent: 21 May 2019
( c) StaMbinlsgenrg( s)if any): Not Aplicable
(i) Ifo noDe-aslynr/dPicuartehd,s nera:me Not Aplicable
(iv) U.S eling Restrictons: Reg. S,Category 2;TEFRA D


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(v) ThRe5:s
Aplicable
S2tDhu0riuep(ctt e5fr)hiv o nSniDsasiunote(licAncine hrtgAF el cicto nl(aeeWziectih alo)p:
(vi) PrEohiAb Rtieona lIfnSvaelsto rs: Aplicable
(vi) PrBoehligbatni onC osfu mSearlse: to Aplicable

L ON5291426/1 37925-018
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