Government Debt Management securities lending facilities for primary dealers. According to the Agreements Concerning Secondary Market Issuance and Market making in Treasury Securities dated 2 June 2009 securities lending in RIKB 10 1210 to each primary dealer will be increased from 3 b.kr. nominal value up to 5 b.kr. nominal value. These terms shall take effect on 14. May 2010. Reykjavik, 12 May 2010
Increased securities lending facilities to primary dealers
| Quelle: Ríkissjóður Íslands - Lánamál ríkisins