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CONDITIONS FOR RIKSBANK AUCTIONS GOVERNMENT BONDS

Bid procedure, 2024-05-10BondsSWEDEN I/L BOND: 3113. SE0009548704. 2027-12-01SWEDEN I/L BOND: 3104, SE0000556599, 2028-12-01 Bid date2024-05-10Bid.

CONDITIONS FOR SALE OF RIKSBANK CERTIFICATES

Bid date, 2024-03-26Auction date2024-03-26Settlement date2024-03-27Maturity Date2024-04-03Nominal amount955 billion SEKInterest rate4.00 %Bid.

CONDITIONS FOR SALE OF RIKSBANK CERTIFICATES

Bid date, 2024-02-27Auction date2024-02-27Settlement date2024-02-28Maturity Date2024-03-06Nominal amount967 billion SEKInterest rate4.00 %Bid.

CONDITIONS FOR RIKSBANK AUCTIONS GOVERNMENT BONDS

Bid procedure, 2024-03-01BondsSWEDEN I/L BOND: 3113. SE0009548704. 2027-12-01SWEDEN I/L BOND: 3104, SE0000556599, 2028-12-01 Bid date2024-03-01Bid.

RESULT OF RIKSBANK CERTIFICATE SALE

AuctionAuction resultsAuction date2024-02-20Start date2024-02-21Maturity date2024-02-28Interest rate4.00 %Offered volume, SEK bn986.0Total bid amount, SEK.

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