News

Treasury Bond Auction Announcement - RIKS 29 0917 - RIKS 37 0115
Series RIKS 29 0917 RIKS 37 0115
ISIN IS0000037711 IS0000033793
Maturity Date 09/17/2029 01/15/2037
Auction Date 03/06/2026 03/06/2026
Settlement Date 03/11/2026 03/11/2026
10% addition 03/10/2026 03/10/2026

On the Auction Date, between 10:30 am and 11:00 am, the Government Debt Management will auction Treasury bonds in the Series, with the ISIN numbers and with the Maturity Dates according to the table above. Payments for the Treasury bonds must be received by the Central Bank before 14:00 on the Settlement Date, and the Bonds will be delivered in electronic form on the same day. Article 6 of the General Terms of Auction for Treasury bonds applies for the right to purchase an additional 10%.

Further reference is made to the description of the Treasury bond and the General Terms of Auction for Treasury bonds on the Government Debt Management website.

For additional information please contact Magnús Freyr Hrafnsson, Government Debt Management, at +354 569 9679.

Events

Mar
9

Market Information

9.3.2026 00:00:00
Mar
16

Auction of Treasury Bills

16.3.2026 00:00:00
Mar
18

Central Bank Policy Rate

18.3.2026 00:00:00
Non-indexed Change Price Yield
RIKB 26 1015 99.58 7.39
RIKB 27 0415 100.75 7.24
RIKB 28 1115 95.06 7.07
RIKB 31 0124 98.37 6.90
RIKB 35 0917 102.21 6.67
RIKB 38 0215 98.83 6.64
RIKB 42 0217 80.00 6.56
Indexed Change Price Yield
RIKS 29 0917 103.30 2.51
RIKS 30 0701 103.05 2.49
RIKS 33 0321 102.91 2.54
RIKS 37 0115 85.73 2.52
RIKS 50 0915 119.55 2.43
Data delayed by 15 min.