Senaste auktionsresultat
Svenskt obligationsprogram
2025-12-09
Auction date | 9 December 2025 |
|---|---|
ISIN | SE0018689523 |
Maturity Date | 03/12/2029 |
Coupon | 3 |
Settlement Date | 12/11/2025 |
Total Amount Allocated (MM) | 500 |
Total Number of Bids Received | 9 |
Total Amount of All Bids Received(MM) | 2,800 |
Total Number of Successful Bids | 1 |
Lowest Margin / Highest Margin Allocated | 13.90/13.90 |
Lowest Margin / Highest Margin Allocated In Full | 13.90/13.90 |
Weighted Average (Margin) | 13.90 |
Best Bid (Margin) | 13.90 |
Bid to Cover Ratio | 5.60 |
Amount Offered(MM) | 500 |
| 9 December 2025 |
|---|---|
ISIN | SE0021923786 |
Maturity Date | 06/12/2030 |
Coupon | 3.25 |
Settlement Date | 12/11/2025 |
Total Amount Allocated (MM) | 1,250 |
Total Number of Bids Received | 14 |
Total Amount of All Bids Received(MM) | 5,650 |
Total Number of Successful Bids | 2 |
Lowest Margin / Highest Margin Allocated | 20.60/20.70 |
Lowest Margin / Highest Margin Allocated In Full | 20.60/20.60 |
Weighted Average (Margin) | 20.66 |
Best Bid (Margin) | 20.60 |
Bid to Cover Ratio | 4.52 |
Amount Offered(MM) | 1,250 |