The Debt Office's government securities are registered at Euroclear Sweden AB or another affiliated clearing house. Euroclear arranges settlement of transactions, coupon payments and payment on maturity.

The following applies to the different instruments: 

  • Normal settlement day for T-bills, nominal and inflation-linked government bonds is two days after the trade day.    
  • When the government security matures, the registered owner receives the redemption price on the maturity date.