2025-09-11 16:20:00
Auction date September 18, 2025
| Maturity date | Loan | ISIN code | Coupon | Issue Volume, SEK million |
| 2036-06-01 | 3116 | SE0023848130 | 0.750% | 0,500 |
| 2039-06-01 | 3115 | SE0016786560 | 0.125% | 0,250 |
Settlement date September 22, 2025
Bids have to be entered by 11.00 on September 18, 2025
Bid only through dealers approved by the Swedish National Debt Office.