2019-10-09

Sell

Auction date :
2019-10-09
Auction type :
Nominal bond
Loan :
1056
ISINcode :
SE0004517290
Coupon % :
2.250
Maturity :
6/1/2032
Offered/tendered :
500
Tendered :
1,975
Allocated institutional:
500
Tender ratio :
3.95
Number of bids :
13
Number of accepted bids :
5
Yield avg :
-0.1750(131.019)
Low :
-0.1850(131.168)
Cutoff :
-0.1731(130.990)
% of Eq Price Lvl :
70.00

Sell

Auction date :
2019-10-09
Auction type :
Nominal bond
Loan :
1061
ISINcode :
SE0011281922
Coupon % :
0.750
Maturity :
11/12/2029
Offered/tendered :
1,000
Tendered :
3,100
Allocated institutional:
1,000
Tender ratio :
3.10
Number of bids :
17
Number of accepted bids :
10
Yield avg :
-0.3356(111.156)
Low :
-0.3450(111.259)
Cutoff :
-0.3320(111.117)
% of Eq Price Lvl :
35.00