Stockholm, Sweden, 2017-06-01 16:20 CEST (GLOBE NEWSWIRE) --
Auction date June 8, 2017
Maturity date | Loan | ISIN code | Coupon | Issue volume, SEK million |
2027-12-01 | 3113 | SE0009548704 | 0.125% | 500 |
2032-06-01 | 3111 | SE0007045745 | 0.125% | 250 |
Settlement date June 12, 2017
Bids have to be entered by 11.00 on June 8, 2017
Bid only through dealers approved by the Swedish National Debt Office
For more information, please contact:
The funding desk
+ 46 8 613 4780
Funding@riksgalden.se