HMC 20-F DEF-14A Report March 31, 2022 | Alphaminr

HMC 20-F Report ended March 31, 2022

TABLE OF CONTENTS
Part IItem 1. Identity Of Directors, Senior Management and AdvisersItem 2. Offer Statistics and Expected TimetableItem 3. Key InformationItem 4. Information on The CompanyItem 4A. Unresolved Staff CommentsItem 5. Operating and Financial Review and ProspectsItem 6. Directors, Senior Management and EmployeesItem 7. Major Shareholders and Related Party TransactionsItem 8. Financial InformationItem 9. The Offer and ListingItem 10. Additional InformationItem 11. Quantitative and Qualitative Disclosure About Market RiskItem 12. Description Of Securities Other Than Equity SecuritiesPart IIItem 13. Defaults, Dividend Arrearages and DelinquenciesItem 14. Material Modifications To The Rights Of Security Holders and Use Of ProceedsItem 15. Controls and ProceduresItem 16A. Audit Committee Financial ExpertItem 16B. Code Of EthicsItem 16C. Principal Accountant Fees and ServicesItem 16D. Exemptions From The Listing Standards For Audit CommitteesItem 16E. Purchases Of Equity Securities By The Issuer and Affiliated PurchasersItem 16F. Change in Registrant S Certifying AccountantItem 16G. Corporate GovernanceItem 16H. Mine Safety DisclosureItem 16I. Disclosure Regarding Foreign Jurisdiction That Prevent InspectionsPart IIIItem 17. Financial StatementsItem 18. Financial StatementsItem 19. Exhibits

Exhibits

1.1 Articles of Incorporation of the registrant (English translation) *1 1.2 Share Handling Regulations of the registrant (English translation) *2 1.3 Regulations of the Board of Directors of the registrant (English translation) 1.4 Honda Motor Co., Ltd. Criteria for Independence of Outside Directors (English translation) *3 2.2 Form of Second Amended and Restated Deposit Agreement dated as of March, 2022, among the registrant, JPMorgan Chase Bank, N.A., as Depositary, and holders and beneficial owners of American Depositary Receipts *5 2.3 Description of rights of each class of securities registered under Section12 of the Securities Exchange Act of 1934 11.1 Code of Ethics *6 12.1 Certification of the principal executive officer required by 17 C.F.R. 240.13a-14(a) 12.2 Certification of the principal financial officer required by 17 C.F.R. 240.13a-14(a) 13.1 Certification of the chief executive officer required by 18 U.S.C. Section1350 13.2 Certification of the chief financial officer required by 18 U.S.C. Section1350 15.1 Consent of Independent Registered Public Accounting Firm