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Sell
                    Auction date
                    :
                
                2020-03-26
            
                    Auction type
                    :
                
                Nominal bond
            
                    Loan
                    :
                
                1061
            
                    ISINcode
                    :
                
                SE0011281922
            
                    Coupon %
                    :
                
                0.750
            
                    Maturity
                    :
                
                2029-11-12
            
                    Offered/tendered
                    :
                
                1,811
            Allocated institutional:
                        
                    
                            Tender ratio
                            :
                        
                        
                        
                        
                    
                            Number of bids
                            :
                        
                        
                    
                            Number of accepted bids
                            :
                        
                        
                    
                                Yield avg
                                :
                            
                            
                        
                                Low
                                :
                            
                            
                        
                                Cutoff
                                :
                            
                            
                        Sell
                    Auction date
                    :
                
                2020-03-26
            
                    Auction type
                    :
                
                Nominal bond
            
                    Loan
                    :
                
                1062
            
                    ISINcode
                    :
                
                SE0013935319
            
                    Coupon %
                    :
                
                0.125
            
                    Maturity
                    :
                
                2031-05-12
            
                    Offered/tendered
                    :
                
                4,000
            
                            Tendered
                            :
                        
                        6,690
                    Allocated institutional:
                        1,640
                    
                            Tender ratio
                            :
                        
                        
                        
                        1.67
                    
                            Number of bids
                            :
                        
                        21
                    
                            Number of accepted bids
                            :
                        
                        11
                    
                                Yield avg
                                :
                            
                            0.1233(100.019)
                        
                                Low
                                :
                            
                            0.1070(100.199)
                        
                                Cutoff
                                :
                            
                            0.1251(99.999)
                        
                        % of Eq Price Lvl
                        :
                    
                    100.00
                