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Auction results 2021-02-08

08/02/2021 -

Result of weekly market operations with a maturity of 3 months Auction Auction results Auction date 2021-02-08 Payment date 2021-02-08 Maturity date 2021-05-10 Term 13 weeks Offered volume, SEK bn Unlimited Total bid amount, SEK bn 0...

Markets / Measures in response to financial turmoil

Auction results 2021-03-04

04/03/2021 -

Result of credit in US dollars Auction Auction results Auction date 2021-03-04 Settlement date 2021-03-08 Maturity date 2021-05-28 Term, days 81 Offered volume, USD bn 10 Marginal interest rate, % n/a Allotment at marginal interest...

Markets / Measures in response to financial turmoil

Auction results 2021-01-22

22/01/2021 -

Result of SEK tender operation for onward lending Auction Auction results Auction date 2021-01-22 Settlement date 2021-01-26 Final repayment date 2025-01-27 Offered volume, SEK bn 50 Total bid amount, SEK bn 0 Number of bids 0...

Markets / Measures in response to financial turmoil

Auction date 2021-03-11

05/03/2021 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF BONDS VIA BID PROCEDURE 2021:1 Bid procedure, 2021-03-11 Bonds SWEDBANK HYPOTEK AB: 192. SE0010133207. 2023-03-15 STADSHYPOTEK AB: 1590, SE0012676690, 2025-09-03 SWEDISH COVERED BOND:...

Markets / Measures in response to financial turmoil

Auction date 2021-03-18

12/03/2021 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF BONDS VIA BID PROCEDURE 2021:1 Bid procedure, 2021-03-18 Bonds SWEDBANK HYPOTEK AB: 191. SE0007525654. 2022-06-15 STADSHYPOTEK AB: 1587, SE0010441303, 2023-06-01 SWEDISH COVERED BOND:...

Markets / Measures in response to financial turmoil

Auction date 2021-09-17

10/09/2021 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF BONDS VIA BID PROCEDURE Bid procedure, 2021-09-17 Bonds SWEDISH GOVERNMENT: 1059. SE0007125927. 2026-11-12 SWEDISH GOVERNMENT: 1062, SE0013935319, 2031-05-12 Bid date 2021-09-17...

Markets / Measures in response to financial turmoil

Auction date 2021-10-29

22/10/2021 -

SPECIAL TERMS AND CONDITIONS FOR THE RIKSBANK'S PURCHASES OF BONDS VIA BID PROCEDURE Bid procedure, 2021-10-29 Bonds SWEDISH GOVERNMENT: 1056. SE0004517290. 2032-06-01 SWEDISH GOVERNMENT: 1053, SE0002829192, 2039-03-30 Bid date 2021-10-29...

Markets / Measures in response to financial turmoil

Auction results 2021-04-23

23/04/2021 -

Auction results Auction Result of auction Auction date 2021-04-23 Loan 1053 Isin SE0002829192 Coupon, % 3.500 Maturity 2039-03-30 Tendered volume, SEK mln 750 +/- 400 Offered volume, SEK mln 2,520 Volume bought, SEK mln 750...

Markets / Measures in response to financial turmoil

Auction results 2021-02-26

26/02/2021 -

Auction results Auction Result of auction Auction date 2021-02-26 Loan 1053 Isin SE0002829192 Coupon, % 3.500 Maturity 2039-03-30 Tendered volume, SEK mln 1000 +/- 500 Offered volume, SEK mln 1500 Volume bought, SEK mln 1000...

Markets / Measures in response to financial turmoil

Auction results 2021-09-17

17/09/2021 -

Auction results Auction Result of auction Auction date 2021-09-17 Loan 1059 Isin SE0007125927 Coupon, % 1.000 Maturity 2026-11-12 Tendered volume, SEK mln 500 +/- 250 Offered volume, SEK mln 1000 Volume bought, SEK mln 500 Number...

Markets / Measures in response to financial turmoil