Torsdag 22 Januari | 01:05:29 Europe / Stockholm
2025-08-27 16:20:00

Auction date Sep 3, 2025

Maturity dateIssue volume, SEK millionDays (Act/360)ISIN code
2026-03-185,000194SE0024172803
2026-09-167,500376SE0026142598

Settlement date Sep 5, 2025

Bids have to be entered by 11.00 on Sep 3, 2025

Bid only through dealers approved by the Swedish National Debt Office.