Sell

Auction date :
2019-01-30
Auction type :
Nominal bond
Loan :
1056
ISINcode :
SE0004517290
Coupon % :
2.25
Maturity :
2032-06-01
Offered/tendered :
500
Allocated institutional:
500
Tender ratio :
2.25
Number of bids :
10
Number of accepted bids :
4
Yield avg :
0.8012(118.250)
Low :
0.7900(118.406)
Cutoff :
0.8040(118.211)
% of Eq Price Lvl :
65.00

Sell

Auction date :
2019-01-30
Auction type :
Nominal bond
Loan :
1058
ISINcode :
SE0005676608
Coupon % :
2.50
Maturity :
2025-05-12
Offered/tendered :
1,000
Allocated institutional:
1,000
Tender ratio :
4.36
Number of bids :
17
Number of accepted bids :
3
Yield avg :
0.1028(114.999)
Low :
0.1000(115.018)
Cutoff :
0.1030(114.998)
% of Eq Price Lvl :
92.00