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Sell
Auction date
:
2019-08-28
Auction type
:
Nominal bond
Loan
:
1059
ISINcode
:
SE0007125927
Coupon %
:
1.000
Maturity
:
2026-11-12
Offered/tendered
:
500
Tendered
:
2,650
Allocated institutional:
500
Tender ratio
:
5.30
Number of bids
:
14
Number of accepted bids
:
1
Yield avg
:
-0.5720(111.589)
Low
:
-0.5720(111.589)
Cutoff
:
-0.5720(111.589)
% of Eq Price Lvl
:
100.00
Sell
Auction date
:
2019-08-28
Auction type
:
Nominal bond
Loan
:
1061
ISINcode
:
SE0011281922
Coupon %
:
0.750
Maturity
:
2029-11-12
Offered/tendered
:
1,000
Tendered
:
2,900
Allocated institutional:
1,000
Tender ratio
:
2.90
Number of bids
:
19
Number of accepted bids
:
5
Yield avg
:
-0.3678(111.640)
Low
:
-0.3730(111.698)
Cutoff
:
-0.3670(111.631)
% of Eq Price Lvl
:
76.19