bond

VASTERAS KOMMUN FRN 2026

Pricing

Price

Yield To Maturity

Duration

Last Trade Date

Identifiers

ISIN

SE0012676278

Figi

BBG00YVH70J5

Ticker

VASTER F 01/19/26 DMTN

Features

Currency

SEK

Coupon

Maturity Date

2026-01-19

Interest Type

Variable Rate

Maturity Type

Fixed

Callable

False

Puttable

False

Min Increment

2,000,000

Issued Amount

250,000,000

Rank

Senior Unsecured

Registration Type

Registered

Issuer info

Issuer

VASTERAS KOMMUN

LEI

213800HY49GI1ZG4VI18

Country

Sweden

Issuer Type

Government

Sector

Public

Industry group

Public

Ratings

Issue rating

-/-/-

Issuer rating

-/AAA/-

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Trade data is collected from publicly available MiFID II post-trade reports from European venues. Prices and volumes are updated daily.

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Other bonds from same issuer

Showing 1 - 33 of 33 results.

ISIN

Ticker

Currency

Coupon

Maturity Date

SE0011869866 VASTER F 08/20/24 DMTN SEK 2024-08-20
SE0013360971 VASTER F 03/30/27 DMTN SEK 2027-03-30
SE0011425958 VASTER F 12/11/24 DMtn SEK 2024-12-11
SE0013105368 VASTER F 03/09/28 Dmtn SEK 2028-03-09
SE0017780299 VASTER F 04/30/26 DMTN SEK 2026-04-30
NO0012525577 VASTER F 05/18/27 NOK 2027-05-18
SE0013104650 VASTER F 08/31/26 DMTN SEK 2026-08-31
SE0013361318 VASTER 2.825 08/18/28 DMTN SEK 2.825 2028-08-18
SE0013104114 VASTER F 09/16/25 DMTN SEK 2025-09-16
SE0016274104 VASTER 0.363 09/17/26 DMTN SEK 0.363 2026-09-17
SE0020356491 VASTER F 11/28/29 SEK 2029-11-28
SE0013361128 VASTER F 01/22/29 DMTN SEK 2029-01-22
SE0013882933 VASTER 0.435 01/29/27 DMTN SEK 0.435 2027-01-29
SE0015810833 VASTER F 05/09/28 Dmtn SEK 2028-05-09
SE0012675858 VASTER F 01/17/25 DMTN SEK 2025-01-17
SE0013883857 VASTER 3.108 02/01/28 174 SEK 3.108 2028-02-01
SE0013359924 VASTER 0.115 10/27/25 DMTN SEK 0.115 2025-10-27
SE0013104213 VASTER F 02/13/26 DMTN SEK 2026-02-13
SE0016274369 VASTER 0.79 03/17/25 DMTN SEK 0.79 2025-03-17
SE0012676278 VASTER F 01/19/26 DMTN SEK 2026-01-19
SE0013104825 VASTER F 10/20/26 DMTN SEK 2026-10-20
SE0013104874 VASTER F 12/16/26 DMTN SEK 2026-12-16
SE0013359981 VASTER F 11/19/25 DMTN SEK 2025-11-19
SE0013883840 VASTER F 02/01/28 DMTN SEK 2028-02-01
NO0012708769 VASTER F 09/27/27 NOK 2027-09-27
SE0013360369 VASTER F 08/27/25 SEK 2025-08-27
NO0010834542 VASTER F 10/21/24 MTN NOK 2024-10-21
SE0011309020 VASTER F 05/30/25 DMTN SEK 2025-05-30
NO0012639501 VASTER F 08/26/27 DMTN NOK 2027-08-26
SE0011869817 VASTER F 06/05/24 DMTN SEK 2024-06-05
NO0013035212 VASTER F 10/10/28 NOK 2028-10-10
SE0019177056 VASTER F 03/23/29 DMTN SEK 2029-03-23
SE0013102118 VASTER 0.5825 04/12/28 DMTN SEK 0.583 2028-04-12

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