2020-02-26(2)(2)(3)(2)(2)(2)

Sell

Auction date :
2020-06-17
Auction type :
Nominal bond
Loan :
1054
ISINcode :
SE0003784461
Coupon % :
3.500
Maturity :
6/1/2022
Offered/tendered :
1,500
Tendered :
10,500
Allocated institutional:
1,500
Tender ratio :
7.00
Number of bids :
21
Number of accepted bids :
3
Yield avg :
-0.3241(107.461)
Low :
-0.3260(107.465)
Cutoff :
-0.3225(107.458)
% of Eq Price Lvl :
53.33

Sell

Auction date :
2020-06-17
Auction type :
Nominal bond
Loan :
1062
ISINcode :
SE0013935319
Coupon % :
0.125
Maturity :
5/12/2031
Offered/tendered :
3,500
Tendered :
13,451
Allocated institutional:
3,500
Tender ratio :
3.84
Number of bids :
57
Number of accepted bids :
15
Yield avg :
0.1532(99.696)
Low :
0.1470(99.763)
Cutoff :
0.1580(99.644)
% of Eq Price Lvl :
88.89