RESULT OF RIKSBANK REVERSED AUCTIONS KOMMUNINVEST BONDS
Auction date | 2022-01-11 |
Loan | 2311 |
Coupon | 1.00 % |
ISIN-code | SE0010948240 |
Maturity | 2023-11-13 |
Tendered volume, SEK mln | 500 +/- 250 |
Volume offered, SEK mln | 1,507 |
Volume bought, SEK mln | 500 |
Number of bids | 7 |
Number of accepted bids | 4 |
Average yield | 0.089 % |
Lowest accepted yield | 0.085 % |
Highest yield | 0.095 % |
% accepted at lowest yield | 36.36 |
Auction date | 2022-01-11 |
Loan | 2505 |
Coupon | 1.00 % |
ISIN-code | SE0011414010 |
Maturity | 2025-05-12 |
Tendered volume, SEK mln | 500 +/- 250 |
Volume offered, SEK mln | 3,100 |
Volume bought, SEK mln | 500 |
Number of bids | 9 |
Number of accepted bids | 3 |
Average yield | 0.467 % |
Lowest accepted yield | 0.464 % |
Highest yield | 0.471 % |
% accepted at lowest yield | 98.67 |
Auction date | 2022-01-11 |
Loan | 2611 |
Coupon | 1.00 % |
ISIN-code | SE0012569572 |
Maturity | 2026-11-12 |
Tendered volume, SEK mln | 500 +/- 250 |
Volume offered, SEK mln | 2,054 |
Volume bought, SEK mln | 500 |
Number of bids | 7 |
Number of accepted bids | 2 |
Average yield | 0.753 % |
Lowest accepted yield | 0.751 % |
Highest yield | 0.755 % |
% accepted at lowest yield | 100.00 |
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