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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 date2021-04-29
Loan192
Coupon1.00 %
ISIN-codeSE0010133207
Maturity2023-03-15
Tendered volume, SEK mln800 +/- 400
Volume offered, SEK mln2,100 
Volume bought, SEK mln800 
Number of bids
Number of accepted bids
Average yield-0.083 %
Lowest accepted yield-0.088 %
Highest yield-0.080 %
% accepted at lowest yield       75.00 


Auction date2021-04-29
Loan1591
Coupon0.50 %
ISIN-codeSE0013882644
Maturity2026-06-01
Tendered volume, SEK mln2,000 +/- 1,000 
Volume offered, SEK mln8,650 
Volume bought, SEK mln2,000 
Number of bids11 
Number of accepted bids
Average yield0.341 %
Lowest accepted yield0.341 %
Highest yield0.342 %
% accepted at lowest yield       62.50 


Auction date2021-04-29
Loan144
Coupon1.00 %
ISIN-codeSE0011167428
Maturity2023-06-21
Tendered volume, SEK mln700 +/- 350
Volume offered, SEK mln2,100 
Volume bought, SEK mln700 
Number of bids
Number of accepted bids
Average yield-0.049 %
Lowest accepted yield-0.049 %
Highest yield-0.049 %
% accepted at lowest yield       100.00 


Auction date2021-04-29
Loan580
Coupon1.00 %
ISIN-codeSE0013101722
Maturity2025-12-17
Tendered volume, SEK mln700 +/- 350
Volume offered, SEK mln2,872 
Volume bought, SEK mln700 
Number of bids10 
Number of accepted bids
Average yield0.261 %
Lowest accepted yield0.260 %
Highest yield0.262 %
% accepted at lowest yield       46.86 


Auction date2021-04-29
Loan519
Coupon1.50 %
ISIN-codeSE0012324341
Maturity2026-09-16
Tendered volume, SEK mln600 +/- 300
Volume offered, SEK mln3,300 
Volume bought, SEK mln600 
Number of bids
Number of accepted bids
Average yield0.397 %
Lowest accepted yield0.397 %
Highest yield0.397 %
% accepted at lowest yield       100.00 


Auction date2021-04-29
Loan2312
Coupon1.00 %
ISIN-codeSE0011116474
Maturity2023-12-20
Tendered volume, SEK mln200 +/- 100
Volume offered, SEK mln1,000 
Volume bought, SEK mln200 
Number of bids
Number of accepted bids
Average yield0.005 %
Lowest accepted yield0.005 %
Highest yield0.005 %
% accepted at lowest yield       100.00 


Auction date2021-04-29
Loan5535
Coupon1.00 %
ISIN-codeSE0013358413
Maturity2025-09-17
Tendered volume, SEK mln1,000 +/- 500
Volume offered, SEK mln5,200 
Volume bought, SEK mln1,000 
Number of bids
Number of accepted bids
Average yield0.237 %
Lowest accepted yield0.237 %
Highest yield0.237 %
% accepted at lowest yield       100.00 



















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CONDITIONS FOR RIKSBANK REVERSED AUCTIONS SEK GOVERNMENT BONDS7.5.2021 16:20:00 CEST | Press release

Bid procedure, 2021-05-14BondsSWEDEN I/L BOND: 3113. SE0009548704. 2027-12-01 SWEDEN I/L BOND: 3111, SE0007045745, 2032-06-01 Bid date2021-05-14Bid times09.00-10.00 (CET/CEST) on the Bid dateRequested volume (corresponding nominal amount)3113: 500 mln SEK +/-250 mln SEK 3111: 500 mln SEK +/-250 mln SEK Highest permitted bid volume (corresponding nominal amount)3113: 500 mln SEK per bid 3111: 500 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 date2021-05-18Delivery of bondsTo the Riksbank's account in Euroclear Sweden AB's securities settlement system 1 4948 6383 Stockholm, 2021-05-07 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