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RESULT OF RIKSBANK REVERSED AUCTIONS KOMMUNINVEST BONDS

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RESULT OF RIKSBANK REVERSED AUCTIONS KOMMUNINVEST BONDS

Auction date2021-06-01
Loan2302
Coupon0.75 %
ISIN-codeSE0009662943
Maturity2023-02-22
Tendered volume, SEK mln500 +/- 250
Volume offered, SEK mln1,700 
Volume bought, SEK mln500 
Number of bids
Number of accepted bids
Average yield-0.053 %
Lowest accepted yield-0.053 %
Highest yield-0.053 %
% accepted at lowest yield       100.00 


Auction date2021-06-01
Loan2410
Coupon1.00 %
ISIN-codeSE0010469205
Maturity2024-10-02
Tendered volume, SEK mln1,000 +/- 500 
Volume offered, SEK mln2,336 
Volume bought, SEK mln1,000 
Number of bids
Number of accepted bids
Average yield0.123 %
Lowest accepted yield0.119 %
Highest yield0.135 %
% accepted at lowest yield       66.40 


Auction date2021-06-01
Loan2602
Coupon0.75 %
ISIN-codeSE0013745452
Maturity2026-02-04
Tendered volume, SEK mln750 +/- 350
Volume offered, SEK mln2,450 
Volume bought, SEK mln750 
Number of bids
Number of accepted bids
Average yield0.344 %
Lowest accepted yield0.344 %
Highest yield0.344 %
% accepted at lowest yield       100.00 






















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CONDITIONS FOR RIKSBANK BID PROCEDURE KOMMUNINVEST BONDS24.6.2021 12:05:00 CEST | Press release

Bid procedure, 2021-06-29BondsKOMMUNINVEST I SVERIGE: 2302. SE0009662943. 2023-02-22 KOMMUNINVEST I SVERIGE: 2410, SE0010469205, 2024-10-02 KOMMUNINVEST I SVERIGE: 2602, SE0013745452, 2026-02-04 BidsBids on interest and volume are entered via Bloomberg Bond Auction SystemBid date2021-06-29Bid times10.00-11.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)2302: 500 mln SEK +/-250 mln SEK 2410: 500 mln SEK +/-250 mln SEK 2602: 1000 mln SEK +/-500 mln SEK Highest permitted bid volume (corresponding nominal amount)2302: 500 mln SEK per bid 2410: 500 mln SEK per bid 2602: 1000 mln SEK per bid Lowest permitted bid volume (corresponding nominal amount)SEK 50 million per bidExpected allocation timeNot later than 11.15 (CET/CEST) on the Bid dateDelivery and payment date2021-07-01Delivery of bondsTo the Riksbank's account in Euroclear Sweden AB's securities settlement system 1 4948 6383General Terms and ConditionsGeneral Terms and Conditions General Terms and Condition

CONDITIONS FOR THE RIKSBANK´S PURCHASES OF COMMERCIAL PAPER24.6.2021 12:05:00 CEST | Press release

Bid procedure, 2021-06-30CertificateCommercial paper issued in SEK by non-financial companies with their registered office in Sweden and with a remaining maturity of up to six months on the Bid date. i.e. with the latest maturity date as of 2021-12-30 Delivery may not be made in commercial paper purchased by the Counterparty from the issuer less than one week prior to the date for announcing the Special terms, i.e. the purchase may not have been made after 2021-06-17 BidsCounterparties may make one bid per Credit rating class and maturity class. Bids are made to tel 08-696 69 70 and confirmed by e-mail to EOL@riksbank.se.Bid date2021-06-30Bid times09.00-09.30 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)SEK 4 billionHighest permitted bid volume (corresponding nominal amount)The total bid volume from one Counterparty for the two Credit rating classes may not exceed SEK 4 billion. No bid may contain Commercial paper in excess of SEK 250 million issued by the s

CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK GOVERNMENT BONDS24.6.2021 12:05:00 CEST | Press release

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CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK TREASURY BILLS24.6.2021 12:05:00 CEST | Press release

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