Latest auction result government bonds

Sell

Auction date: 2019-01-16

Auction type: Nominal bond

Loan: 1061

ISINcode: SE0011281922

Coupon %: 0.750

Maturity: 11/12/2029

Offered/tendered: 1,500

Tendered: 4,875

Allocated institutional: 1,500

Tender ratio: 3.25

Number of bids: 23

Number of accepted bids: 8

Yield avg: 0.6118(101.442)

Low: 0.6050(101.513)

Cutoff: 0.6140(101.419)

Yield:  

% of Eq Price Lvl: 30.00

Allocated private: