请同学们阅读信用证,内容如下: * 40A:FORM OF DOC. CREDIT IRREVOCABLE * 20: DOC. CREDIT NUMBER S-9007NU-30 * 31C: DATE OF ISSUE 2018-3-19 * 40E: APPLICABLE RULES UCP LATEST VERSION * 31D:EXPIRY DATE APR.30,2018 PLACE IN CHINA * 51A:ISSUE BANK HANG SENG BANK, TOKYO BRANCH * 50: APPLICANT NISSON KAISHA LTD., CHUO-KU 1-4 TOKYOJAPAN * 59: BENEFICIARY SHANDONG TRADING IMPORT CO. NO.154 JINGSHI ROAD,JINAN CHINA * 32B: AMOUNT: CURRENCY USD AMOUNT 50000.00 * 41D: AVAILABLE WITH/BY ANY BANK IN CHINABY DRAFT * 42C: DRAFTS AT 45 DAYS AFTER B/L DATE * 42A: DRAWEE HANG SENG BANK, TOKYO BRANCH * 43P:PARTIAL SHIPMENTS ALLOWED * 43T: TRANSHIPMENT FORBIDDEN * 44E:PORT OF LOADING: ANY PORT OF CHINA * 44F: PORT OF DISCHARGE TOKYO,JAPAN * 44C:LATEST DATE OF SHIP. APR. 15,2018 * 45A:DESCRIPT. OF GOODS GROUNTNUT OIL CFR TOKYO QUANTITY SIZE UNIT PRICE 15 MTS GRADE I USD1200.00/MT 12 MTS GRADE II USD1150.00/ MT 15 MTS GRADE III USD1100.00/ MT ALL THE GOODS PACKING 5KGS X 6 BOTTLES IN A CTN AS PER CONTRACT NO.NK9012 DATED FEB.12,2018 * 46A:DOCUMENTS REQUIRED + COMMMERCIAL INVOICE IN ONE ORIGINAL AND TWO COPIES CERTIFIED TO BE TRUE AND CORRECT MENTIONING FULL NAME AND ADDRESS OF THE MANUFACTURERS. + FULL SET OF OCEAN BILLS OF LADING ISSUED TO THE ORDER OF ISSUING BANK MARKED FREIGHT PREPAID NOTIFY ISSUING BANK AND APPLICANT . + PACKING LIST IN TWO COPIES SHOWING EACH PACKAGE OF N.W/G.W./MEAS. *47A:ADDITIONAL COND. + ALL THE AMOUNT AND QUANLITY ALLOWED 10% MORE OR LESS. +SHOWING CARRIER: CHINA SHIPPING GROUP CO. +SHIPPED IN 40HR CONTAINER APPEAR IN B/L. + SHIPPING MARK: GRPO/PNMA/1-UP APPEAR IN ALL SHIPPING DOCUMENTS + B/L SHOULD SHOW NAME ADDRESS TELEPHONE AND FAX NUMBER OF THE AGENT AT THE PORT OF DESTINATION + SUBJECT U.C.P.2007 ICC PUBLICATION 600 71B: CHARGES ALL CHARGES OF BANKS OUTSIDE JAPAN ARE FOR THE ACCOUNT OF BENEFICIARY. 48: PERIOD FOR PRESENTATION DOCUMENTS TO BE PRESENTED WITHIN 15 DAYS AFTER SHIPMENT DATE BUT WITHIN THE VALIDITY OF THIS CREDIT. +49: CONFIRMATION INSTRUCTIONS WITHOUT 78: INSTRUCTIONS TO THE PAYING/ACCEPTING/NEGOTIATING BANK REIMBURSEMENT INSTRUCTIONS TO THE NEGOTIATING BANK: UPON RECEIPT OF DOCUMENTS IN CONFORMITY WITH THE CREDIT TERMS, THE ISSUING BANK SHALL REMIT PROCEEDS BY TELEGRAPHIC TRANSFER IN ACCORDANCE WITH YOUR INSTRUCTIONS. 请根据信用证内容回答下列问题