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RESULT OF RIKSBANK REVERSED AUCTIONS SEK COVERED BONDS

Sveriges Riksbank
Sveriges Riksbank

RESULT OF RIKSBANK REVERSED AUCTIONS SEK COVERED BONDS

Auction date

2022-06-22

Loan

1592

Coupon

1.00 %

ISIN-code

SE0013883238

Maturity

2027-03-01

Tendered volume, SEK mln

600 +/- 300

Volume offered, SEK mln

1,400

Volume bought, SEK mln

600

Number of bids

5

Number of accepted bids

3

Average yield

3.536 %

Lowest accepted yield

3.522 %

Highest yield

3.544 %

% accepted at lowest yield     

100.00


Auction date

2022-06-22

Loan

148

Coupon

0.25%

ISIN-code

SE0015243415

Maturity

2027-06-09

Tendered volume, SEK mln

300 +/- 150 

Volume offered, SEK mln

1,500

Volume bought, SEK mln

300

Number of bids

7

Number of accepted bids

2

Average yield

3.605 %

Lowest accepted yield

3.600 %

Highest yield

3.607 %

% accepted at lowest yield     

50.00


Auction date

2022-06-22

Loan

581

Coupon

0.50 %

ISIN-code

SE0013102043

Maturity

2026-12-16

Tendered volume, SEK mln

200 +/- 100

Volume offered, SEK mln

800

Volume bought, SEK mln

200

Number of bids

4

Number of accepted bids

1

Average yield

3.558 %

Lowest accepted yield

3.558 %

Highest yield

3.558 %

% accepted at lowest yield     

100.00


Auction date

2022-06-22

Loan

521

Coupon

0.50 %

ISIN-code

SE0015503446

Maturity

2028-09-20

Tendered volume, SEK mln

200 +/- 100

Volume offered, SEK mln

400

Volume bought, SEK mln

200

Number of bids

3

Number of accepted bids

2

Average yield

3.723 %

Lowest accepted yield

3.721 %

Highest yield

3.727 %

% accepted at lowest yield     

100.00


Auction date

2022-06-22

Loan

2612

Coupon

0.50 %

ISIN-code

SE0015987540

Maturity

2026-12-16

Tendered volume, SEK mln

200 +/- 100

Volume offered, SEK mln

600

Volume bought, SEK mln

200

Number of bids

3

Number of accepted bids

1

Average yield

3.571 %

Lowest accepted yield

3.571 %

Highest yield

3.571 %

% accepted at lowest yield     

100.00


Auction date

2022-06-22

Loan

5537

Coupon

1.00 %

ISIN-code

SE0013358447

Maturity

2027-06-16

Tendered volume, SEK mln

200 +/- 100

Volume offered, SEK mln

600

Volume bought, SEK mln

200

Number of bids

3

Number of accepted bids

1

Average yield

3.608 %

Lowest accepted yield

3.608 %

Highest yield

3.608 %

% accepted at lowest yield     

100.00


Auction date

2022-06-22

Loan

197

Coupon

1.00 %

ISIN-code

SE0016828529

Maturity

2027-03-17

Tendered volume, SEK mln

300 +/- 150

Volume offered, SEK mln

600

Volume bought, SEK mln

300

Number of bids

2

Number of accepted bids

1

Average yield

3.550 %

Lowest accepted yield

3.550 %

Highest yield

3.550 %

% accepted at lowest yield     

100.00