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RESULT OF RIKSBANK REVERSED AUCTIONS SEK COVERED BONDS

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RESULT OF RIKSBANK REVERSED AUCTIONS SEK COVERED BONDS

Auction date2020-12-03
Loan1590
Coupon1.00 %
ISIN-codeSE0012676690
Maturity2025-09-03
Tendered volume, SEK mln1,200 +/- 600
Volume offered, SEK mln5,500
Volume bought, SEK mln1,200
Number of bids14
Number of accepted bids5
Average yield0.103 %
Lowest accepted yield0.102 %
Highest yield0.104 %
% accepted at lowest yield       55.17


Auction date2020-12-03
Loan194
Coupon1.00 %
ISIN-codeSE0012142206
Maturity2024-09-18
Tendered volume, SEK mln1,000 +/- 500 
Volume offered, SEK mln5,000
Volume bought, SEK mln1,000
Number of bids10
Number of accepted bids4
Average yield0.049 %
Lowest accepted yield0.048 %
Highest yield0.051 %
% accepted at lowest yield       20.00


Auction date2020-12-03
Loan5535
Coupon1.00 %
ISIN-codeSE0013358413
Maturity2025-09-17
Tendered volume, SEK mln1,000 +/- 500
Volume offered, SEK mln4,000
Volume bought, SEK mln1,000
Number of bids9
Number of accepted bids1
Average yield0.107 %
Lowest accepted yield0.107 %
Highest yield0.107 %
% accepted at lowest yield       100.00


Auction date2020-12-03
Loan580
Coupon1.00 %
ISIN-codeSE0013101722
Maturity2025-12-17
Tendered volume, SEK mln800 +/- 400
Volume offered, SEK mln2,350
Volume bought, SEK mln800
Number of bids8
Number of accepted bids3
Average yield0.117 %
Lowest accepted yield0.114 %
Highest yield0.120 %
% accepted at lowest yield       57.34


Auction date2020-12-03
Loan518
Coupon1.25 %
ISIN-codeSE0011309244
Maturity2025-09-17
Tendered volume, SEK mln600 +/- 300
Volume offered, SEK mln2,400
Volume bought, SEK mln600
Number of bids7
Number of accepted bids4
Average yield0.105 %
Lowest accepted yield0.101 %
Highest yield0.106 %
% accepted at lowest yield       11.11


Auction date2020-12-03
Loan2512
Coupon1.00 %
ISIN-codeSE0013877214
Maturity2025-12-17
Tendered volume, SEK mln300 +/- 150
Volume offered, SEK mln1,810
Volume bought, SEK mln300
Number of bids10
Number of accepted bids3
Average yield0.140 %
Lowest accepted yield0.139 %
Highest yield0.143 %
% accepted at lowest yield       66.67


Auction date2020-12-03
Loan146
Coupon0.50 %
ISIN-codeSE0013381571
Maturity2025-06-11
Tendered volume, SEK mln600 +/- 300
Volume offered, SEK mln2,800
Volume bought, SEK mln600
Number of bids11
Number of accepted bids5
Average yield0.100 %
Lowest accepted yield0.092 %
Highest yield0.111 %
% accepted at lowest yield       66.67




















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Correction: CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK GOVERNMENT BONDS22.1.2021 16:43:41 CETPress release

Bid procedure, 2021-01-29BondsSWEDISH GOVERNMENT: 1053. SE0002829192. 2039-03-30 SWEDISH GOVERNMENT: 1056, SE0004517290, 2032-06-01 KINGDOM OF SWEDEN, XS2226974504, 2030-09-09 Bid date2021-01-29Bid times09.00-10.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)1053: 500 mln SEK +/-250 mln SEK 1056: 500 mln SEK +/-250 mln SEK XS2226974504: 250 mln SEK +/-250 mln SEK Highest permitted bid volume (corresponding nominal amount)1053: 500 mln SEK per bid 1056: 500 mln SEK per bid XS2226974504: 250 mln SEK per bid Lowest permitted bid volume (corresponding nominal amount)SEK 50 million per bidExpected allocation timeNot later than 10.15 (CET/CEST) on the Bid dateDelivery and payment date2021-02-02Delivery of bondsTo the Riksbank's account in Euroclear Sweden AB's securities settlement system 1 4948 6383 Stockholm, 2021-01-22 This is a translation of the special terms and conditions published on www.riksbank.se. In the case of any inconsistency between the English tr

CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK TREASURY BILLS22.1.2021 16:27:52 CETPress release

Bid procedure, 2021-01-25BillsSWEDISH T-BILL: SE0015244405. 2021-12-15 Bid date2021-01-25Bid times09.00-10.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)SE0015244405: 1000 mln SEK +/-500 mln SEK Highest permitted bid volume (corresponding nominal amount)SE0015244405: 1000 mln SEK per bid Lowest permitted bid volume (corresponding nominal amount)SEK 50 million per bidExpected allocation timeNot later than 10.15 (CET/CEST) on the Bid dateDelivery and payment date2021-01-27Delivery of billsTo the Riksbank's account in Euroclear Sweden AB's securities settlement system 1 4948 6383 Stockholm, 2021-01-22 This is a translation of the special terms and conditions published on www.riksbank.se. In the case of any inconsistency between the English translation and the Swedish language version, the Swedish language version shall prevail. Complete terms and conditions can be retrieved at www.riksbank.se.

CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK GOVERNMENT BONDS22.1.2021 16:20:00 CETPress release

Bid procedure, 2021-01-29BondsSWEDISH GOVERNMENT: 1053. SE0002829192. 2039-03-30 SWEDISH GOVERNMENT: 1056, SE0004517290, 2032-06-01 KINGDOM OF SWEDEN: 144A, XS2226974413, 2030-09-09 Bid date2021-01-29Bid times09.00-10.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)1053: 500 mln SEK +/-250 mln SEK 1056: 500 mln SEK +/-250 mln SEK 144A: 250 mln SEK +/-250 mln SEK Highest permitted bid volume (corresponding nominal amount)1053: 500 mln SEK per bid 1056: 500 mln SEK per bid 144A: 250 mln SEK per bid Lowest permitted bid volume (corresponding nominal amount)SEK 50 million per bidExpected allocation timeNot later than 10.15 (CET/CEST) on the Bid dateDelivery and payment date2021-02-02Delivery of bondsTo the Riksbank's account in Euroclear Sweden AB's securities settlement system 1 4948 6383 Stockholm, 2021-01-22 This is a translation of the special terms and conditions published on www.riksbank.se. In the case of any inconsistency between the English translation

CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK MUNICIPAL BONDS22.1.2021 16:20:00 CETPress release

Anbudsförfarande kommuner och regioner, 2021-01-26BondsFixed rate notes issued in SEK by Municipalities or Regions with maturity in: 2024 The following issuers are accepted for delivery: Göteborgs Stad Helsingborgs Stad Jönköpings Kommun Malmö Stad Region Skåne Stockholms Stad Region Stockholm Delivery may not be made in Bonds purchased by the Counterparty from the issuer less than one week prior to the date for announcing the Specific terms, i.e. the purchase may not have been made after: 2021-01-15BidsBids are made to tel 08-696 69 70 and confirmed in writing by a filled-in Bid form by e-mail to EOL@riksbank.se Bid date2021-01-26Bid times10.00-11.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)SEK 1000 +/- 1000 millionHighest permitted bid volume (corresponding nominal amount)The total bid volume from one Counterparty for the two Credit rating classes may not exceed SEK 1 000 million. No bid may contain Bonds exceeding SEK 1000 million issued by the Stockh

CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK COVERED BONDS22.1.2021 16:20:00 CETPress release

Bid procedure, 2021-01-28BondsSWEDBANK HYPOTEK AB: 195. SE0013546066. 2025-06-18 STADSHYPOTEK AB: 1590, SE0012676690, 2025-09-03 SWEDISH COVERED BOND: 146, SE0013381571, 2025-06-11 SKANDINAVISKA ENSKILDA: 580, SE0013101722, 2025-12-17 LANSFORSAKRINGAR HYPOTEK: 518, SE0011309244, 2025-09-17 DANSKE HYPOTEK AB: 2512, SE0013877214, 2025-12-17 NORDEA HYPOTEK AB: 5535, SE0013358413, 2025-09-17 Bid date2021-01-28Bid times09.00-10.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)195: 1300 mln SEK +/-650 mln SEK 1590: 1500 mln SEK +/-750 mln SEK 146: 800 mln SEK +/-400 mln SEK 580: 900 mln SEK +/-450 mln SEK 518: 800 mln SEK +/-400 mln SEK 2512: 400 mln SEK +/-200 mln SEK 5535: 1300 mln SEK +/-650 mln SEK Highest permitted bid volume (corresponding nominal amount)195: 1300 mln SEK per bid 1590: 1500 mln SEK per bid 146: 800 mln SEK per bid 580: 900 mln SEK per bid 518: 800 mln SEK per bid 2512: 400 mln SEK per bid 5535: 1300 mln SEK per bid Lowest permitted bid volume

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