Increased securities lending facilities to primary dealers


Government Debt Management securities lending facilities for primary dealers. 

According to the Agreements concerning Secondary Market Issuance and Market making in Treasury Securities dated 13 March 2015,  securities lending in series RIKB 17 0206 to each primary dealer will be increased from 1 b.kr. nominal value up to 2 b.kr. nominal value. These terms shall take effect after 11:00 am on Wednesday 25 November 2015.