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Bid date, 2025-09-09Auction date2025-09-09Settlement date2025-09-10Maturity Date2025-09-17Nominal amount639 billion SEKInterest rate2.00 %Bid times09.30-10.00 (CET/CEST) on the Bid dateBids are made...
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Bid procedure, 2025-09-12BondsSWEDEN I/L BOND: 3104. SE0000556599. 2028-12-01SWEDEN I/L BOND: 3111, SE0007045745, 2032-06-01Bid date2025-09-12Bid times09.00-10.00 (CET/CEST) on the Bid dateOffered...
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Auction date2025-09-05Loan1060Coupon0.75 %ISIN-codeSE0009496367 Maturity2028-05-12Tendered volume, SEK mln1500 +/- 1500Total bid volume, SEK mln6,700 Volume sold, SEK mln1,500 Number of bids12Number...
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AuctionAuction resultsAuction date2025-09-02Start date2025-09-03Maturity date2025-09-10Interest rate2.00 %Offered volume, SEK bn640.0Total bid amount, SEK bn502.6Accepted volume, SEK bn502.6Number of...
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Bid date, 2025-09-02Auction date2025-09-02Settlement date2025-09-03Maturity Date2025-09-10Nominal amount640 billion SEKInterest rate2.00 %Bid times09.30-10.00 (CET/CEST) on the Bid dateBids are made...
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CERTIFICATE MATURITY250903FIXED RATE (STEERING RATE + 10 b.p.) 2,10 %VOLUME BOUGHT2.6 blnTRADE DAY250901SETTLEMENT DAY250902 ...
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Bid procedure, 2025-09-05BondsSWEDISH GOVERNMENT: 1060. SE0009496367. 2028-05-12SWEDISH GOVERNMENT: 1056, SE0004517290, 2032-06-01Bid date2025-09-05Bid times09.00-10.00 (CET/CEST) on the Bid...
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AuctionAuction resultsAuction date2025-08-26Start date2025-08-27Maturity date2025-09-03Interest rate, %2.00Offered volume, SEK bn661.0Total bid amount, SEK bn570.0Accepted volume, SEK bn570.0Number of...
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Bid date, 2025-08-26Auction date2025-08-26Settlement date2025-08-27Maturity Date2025-09-03Nominal amount661 billion SEKInterest rate, %2.00Bid times09.30-10.00 (CET/CEST) on the Bid dateBids are made...
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AuctionAuction resultsAuction date2025-08-19Start date2025-08-20Maturity date2025-08-27Interest rate, %2.00Offered volume, SEK bn661Total bid amount, SEK bn540.1Accepted volume, SEK bn540.1Number of...