RESULT OF RIKSBANK REVERSED AUCTIONS KOMMUNINVEST BONDS

RESULT OF RIKSBANK REVERSED AUCTIONS KOMMUNINVEST BONDS

Auction date

2021-09-21

Loan

2505

Coupon

1.00 %

ISIN-code

SE0011414010

Maturity

2025-05-12

Tendered volume, SEK mln

1,250 +/- 650

Volume offered, SEK mln

3,236

Volume bought, SEK mln

1,250

Number of bids

7

Number of accepted bids

3

Average yield

0.194 %

Lowest accepted yield

0.190 %

Highest yield

0.197 %

% accepted at lowest yield

83.33


Auction date

2021-09-21

Loan

2611

Coupon

1.00 %

ISIN-code

SE0012569572

Maturity

2026-11-12

Tendered volume, SEK mln

1,000 +/- 500

Volume offered, SEK mln

3,280

Volume bought, SEK mln

1,250

Number of bids

9

Number of accepted bids

6

Average yield

0.417 %

Lowest accepted yield

0.415 %

Highest yield

0.424 %

% accepted at lowest yield

77.00


Auction date

2021-09-21

Loan

2805

Coupon

0.75 %

ISIN-code

SE0015660139

Maturity

2028-05-12

Tendered volume, SEK mln

500 +/- 250

Volume offered, SEK mln

1.250

Volume bought, SEK mln

500

Number of bids

3

Number of accepted bids

1

Average yield

0.608 %

Lowest accepted yield

0.608 %

Highest yield

0.608 %

% accepted at lowest yield

100.00


Auction date

2021-09-21

Loan

G2306

Coupon

0.625 %

ISIN-code

XS1897258098

Maturity

2023-06-01

Tendered volume, SEK mln

250 +/- 150

Volume offered, SEK mln

0

Volume bought, SEK mln

0

Number of bids

0

Number of accepted bids

0

Average yield

n/a

Lowest accepted yield

n/a

Highest yield

n/a

% accepted at lowest yield

n/a



















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