Price (SEK)
- -% (-)
13UV3.15% NTS 27/10/31
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Open / Last close
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High / Low
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Bid / Offer
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Maturity Date
27.10.31
As at 19.10.21 18:48:18 - All data delayed at least 15 minutes
34 more instruments

AB SVERIGES SAKERSTALLDA OBLIGATIONER instruments

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Bonds (27)
Code Instrument name Price Maturity Type Documentation
13UV3.15% NTS 27/10/31-
SEK
27.10.31Bonds-
11UN3.60% NTS 28/10/2021-
SEK
28.10.21Bonds-
12VS1.459% NTS 22/09/31-
EUR
22.09.31Bonds-
15KW1.98% NTS 25/01/30-
SEK
25.01.30Bonds-
20AT2.00% NTS 23/03/26-
SEK
23.03.26Bonds-
32UD1.7575% NTS 14/03/28-
SEK
14.03.28Bonds-
39WV1.980% NTS 25/01/30-
SEK
25.01.30Bonds-
42RB1.8675% COVERED NTS DUE 03/05/30-
SEK
03.05.30Bonds-
Others (8)
Code Instrument name Price Change Type Documentation
15TA0.50% CVRD NTS 29/01/26-
EUR
-Others-
40IN0.250% CVRD NTS 19/04/2023-
EUR
-Others-
40IT1.250% CVRD NTS 19/04/2033-
EUR
-Others-
55HH0.625% CVRD NTS 30/10/25-
EUR
-Others-
59JR0.375% CVD NTS 16/02/24-
EUR
-Others-
59MVFLTG RTE CVD NTS 18/01/22-
GBP
-Others-
62YF0.875% CVD NTS 29/03/27-
EUR
-Others-
67YX0.750% CVD NTS 17/06/22-
EUR
-Others-

Company Index / Market info

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FTSE Index
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Instrument market cap
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Listing / Admission to trading
20 September 2006
Market
Main Market
Listing category
Standard Debt
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