Sveriges Riksbank
Share
CONDITIONS FOR SALE OF RIKSBANK CERTIFICATES
CONDITIONS FOR SALE OF RIKSBANK CERTIFICATES
Bid date, 2025-07-01 | |
Auction date | 2025-07-01 |
Settlement date | 2025-07-02 |
Maturity Date | 2025-07-09 |
Nominal amount | 657 billion SEK |
Interest rate, % | 2.00 |
Bid times | 09.30-10.00 (CET/CEST) on the Bid date |
Bids are made to phone number | 08-696 69 70 |
Confirmation of bids to e-mail | rbcert@riksbank.se |
The lowest accepted bid volume | 1 million SEK |
The highest accepted bid volume | 657 billion SEK |
Allocation Time | 10.15 (CET/CEST) on the Bid date |
Projected minimum liquidity surplus during the term | 657 billion SEK |
Expected excess liquidity at full allotment | 0 billion SEK |
Stockholm, 2025-07-01
Subscribe to releases from Globenewswire
Subscribe to all the latest releases from Globenewswire by registering your e-mail address below. You can unsubscribe at any time.
Latest releases from Globenewswire
Vastned NV1.7.2025 18:00:00 CEST | Press release
Disclose of Transparancy Declaration (article 14, first paragraph, of the Law of 2 May 2007)
Ageas1.7.2025 17:40:00 CEST | Press release
Ageas completes the acquisition of Saga's Underwriting Business
Pharma Equity Group A/S1.7.2025 17:31:07 CEST | Press release
The Board of Directors' resolution on the issuance of convertible loans
Pharma Equity Group A/S1.7.2025 17:31:07 CEST | Pressemeddelelse
Bestyrelsens beslutning om udstedelse af konvertible lån
Siili Solutions Oyj1.7.2025 17:30:00 CEST | Press release
Siili Solutions Plc: Share Repurchase 1.7.2025
In our pressroom you can read all our latest releases, find our press contacts, images, documents and other relevant information about us.
Visit our pressroom