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Sweden 2.375% 2021-02 USD

Update! New bond issue: Sweden issued new debt notes (XS1771768428) (144A: US87020DBE31, 87020DBE3) for 3B USD as of February 7, 2018. Tradable at London Stock Exchange as of February 15, 2018.

IssuerSweden
Bond TypeGovernmental
CategorySenior
Maturity DateFebruary 15, 2021
Residual Duration0 days
CurrencyUSD (United States Dollar)
Coupon TypeFixed Rate
Coupon (Yearly)2.375%
Coupon FrequencySemiannual
Minimum Lot100,000 USD
Additional Lots1,000 USD
Issue DateFebruary 15, 2018
Issued Amount3,000,000,000 USD
Issue Price99.741%
Maturity Price100.000%
Issuer RatingAAA (S&P), Aaa (Moody's), AAA (Fitch), AAA (DBRS)
Home ExchangeLondon
Other ExchangesFrankfurt, Berlin, Stuttgart
IsinXS1771768428
Isin 144AUS87020DBE31 (144A)
Cusip 144A87020DBE3 (144A)
IndustryStates
SectorGovernments
CountrySweden
RegionEurope developed


Bonds, Governmental, Governments, States, Europe developed, Sweden, USD, Fixed Rate, Income


Next HSBC FLR% 2022-01 USD

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