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Auction results 2022-06-03

03/06/2022 -

Auction results Auction Result of auction Auction date 2022-06-03 Loan 3113 Isin SE0009548704 Coupon, % 0.125 Maturity 2027-12-01 Tendered volume, SEK mln 250 +/- 125 Offered volume, SEK mln 725 Volume bought, SEK mln 250 Number...

Markets / Measures in response to financial turmoil

Auction results 2022-08-26

26/08/2022 -

Auction results Auction Result of auction Auction date 2022-08-26 Loan 3111 Isin SE0007045745 Coupon, % 0.125 Maturity 2032-06-01 Tendered volume, SEK mln 100 +/- 50 Offered volume, SEK mln 550 Volume bought, SEK mln 100 Number...

Markets / Measures in response to financial turmoil

Auction date 2022-04-13

08/04/2022 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF CORPORATE BONDS VIA BID PROCEDURE 2020:1 Bid procedure, 2022-04-13 Bonds Bonds issued in SEK by Swedish non-financial undertakings. The following bonds are eligible for delivery:...

Markets / Measures in response to financial turmoil

Auction date 2022-01-12

07/01/2022 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF TREASURY BILLS VIA BID PROCEDURE Bid procedure, 2022-01-12 Bills SWEDISH T-BILL: SE0016102057. 2022-06-15 SWEDISH T-BILL: SE0016787204, 2022-09-21 SWEDISH T-BILL: SE0017133655, 2022-...

Markets / Measures in response to financial turmoil

Result auctions 2022-06-15

15/06/2022 -

Auction Result of auction Auction date 2022-06-15 Name KRAFTRINGEN ENERGI Isin SE0013882727 Coupon, spread 1.174 Maturity 2023-05-30 Tendered volume, SEK mln 30 +/- 30 Offered volume, SEK mln - Volume bought, SEK mln - Number of...

Markets / Measures in response to financial turmoil

Auction date 2022-01-11

07/01/2022 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF BONDS VIA BID PROCEDURE Bid procedure, 2022-01-11 Bonds KOMMUNINVEST I SVERIGE: 2311. SE0010948240. 2023-11-13 KOMMUNINVEST I SVERIGE: 2505, SE0011414010, 2025-05-12 KOMMUNINVEST I...

Markets / Measures in response to financial turmoil

Auction date 2022-03-09

04/03/2022 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF TREASURY BILLS VIA BID PROCEDURE Bid procedure, 2022-03-09 Bills SWEDISH T-BILL: SE0017564297. 2023-03-15 Bid date 2022-03-09 Bid times 09.00-10.00 (CET/CEST) on the Bid date...

Markets / Measures in response to financial turmoil

Auction date 2022-03-23

18/03/2022 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF TREASURY BILLS VIA BID PROCEDURE Bid procedure, 2022-03-23 Bills SWEDISH T-BILL: SE0017564297. 2023-03-15 SWEDISH T-BILL: SE0016102057, 2022-06-15 Bid date 2022-03-23 Bid times...

Markets / Measures in response to financial turmoil

Auction date 2022-02-22

18/02/2022 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF BONDS VIA BID PROCEDURE Bid procedure, 2022-02-22 Bonds KOMMUNINVEST I SVERIGE: 2311. SE0010948240. 2023-11-13 KOMMUNINVEST I SVERIGE: 2505, SE0011414010, 2025-05-12 KOMMUNINVEST I...

Markets / Measures in response to financial turmoil

Auction results 2020-12-18

18/12/2020 -

Result of SEK tender operation for onward lending Auction Auction results Auction date 2020-12-18 Settlement date 2020-12-22 Final repayment date 2024-12-23 Offered volume, SEK bn 50 Total bid amount, SEK bn 0 Number of bids 0...

Markets / Measures in response to financial turmoil