Bond assignments

Issuer
ISIN code
Maturity date
Max volume
Currency
Terms & conditions
Issuer
ISIN code
SE0008322051
Maturity date
14 June 2019
Max volume
300,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0008375232
Maturity date
03 June 2019
Max volume
200,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0008135354
Maturity date
02 June 2019
Max volume
500,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0004649713
Maturity date
12 June 2017
Max volume
1,500,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0006451712
Maturity date
17 November 2019
Max volume
800,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
ISIN SE0009723075
Maturity date
24 March 2017
Max volume
2,000,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0007577358
Maturity date
23 October 2018
Max volume
1,500,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0009320617
Maturity date
28 November 2019
Max volume
2,000,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0004545192
Maturity date
17 April 2017
Max volume
200,000,000
Currency
SEK
Terms & conditions
Issuer
ISIN code
SE0005472024
Maturity date
30 October 2017
Max volume
750,000,000
Currency
SEK
Terms & conditions

united-states

USA