2019-09-11

Sell

Auction date :
2019-09-11
Auction type :
Nominal bond
Loan :
1060
ISINcode :
SE0009496367
Coupon % :
0.750
Maturity :
5/12/2028
Offered/tendered :
500
Tendered :
1,950
Allocated institutional:
500
Tender ratio :
3.90
Number of bids :
10
Number of accepted bids :
3
Yield avg :
-0.3084(109.308)
Low :
-0.3100(109.323)
Cutoff :
-0.3070(109.295)
% of Eq Price Lvl :
55.00

Sell

Auction date :
2019-09-11
Auction type :
Nominal bond
Loan :
1061
ISINcode :
SE0011281922
Coupon % :
0.750
Maturity :
11/12/2029
Offered/tendered :
1,000
Tendered :
3,784
Allocated institutional:
1,000
Tender ratio :
3.78
Number of bids :
17
Number of accepted bids :
7
Yield avg :
-0.1811(109.560)
Low :
-0.1894(109.650)
Cutoff :
-0.1800(109.548)
% of Eq Price Lvl :
63.00