Data on issuance and buybacks

The Danish Debt Management Office regularly offers bonds at auctions and also participates in the secondary market through tap issuance and buybacks of off-the-run securities. Furthermore, switch auctions are held regularly to support liquidity in government bonds.


Issuance (nominal DKKm)


9. maj 2025
       
Papir / Bond Handelsdag / Trade Day :
8. maj 2025
Afvikling / settlement :
12. maj 2025
Maj
Total
2025
Total
Cirkulation
 / Out-
standing amount
2,25% 15-11-2026 0 0 1.885 32.080
0,50% 15-11-2027 0 0 2.785 55.093
2,25% 15-11-2033 0 0 5.590 76.300
2,25% 15-11-2035 0 900 15.345 15.345
0,25% 15-11-2052 0 1.000 1.995 69.090
0,10% 15-11-2030i 0 0 3.105 21.525
0,10% 15-11-2034i 0 0 0 18.040
Skatkammerbeviser / T-bills 0 200 -2.160 3.240
Total 0 2.100 28.545  
Emission af statspapirer, markedsværdi mio.kr. / Issue of government securities, market value mio. kr.  
Papir / Bond Handelsdag / Trade Day :
8. maj 2025
Afvikling / settlement :
12. maj 2025
Maj
Total
2025
Total
Sigtepunkt
 / Target
Salg af statspapirer ved auktion eller tap /
New issues of government securities by auction or tap
0 1.410 24.156 65.000
Salg af statspapirer ved ombytninger /
New issues of government securities by switches
0 0 5.796  
Salg af skatkammerbeviser (netto) /
Issuance of T-bills (net), market value
0 199 -2.171  

Buybacks (nominal DKKm)


9. maj 2025
       
Papir / Bond Handelsdag / Trade Day :
8. maj 2025
Afvikling / settlement :
12. maj 2025
Maj
Total
2025
Total
Cirkulation
 / Out-
standing amount
1,75% 15-11-2025 0 0 13.475 53.319
2,25% 15-11-2026 0 0 0 32.080
0,50% 15-11-2027 0 0 3.625 55.093
0,50% 15-11-2029 0 0 3.015 48.235
0,00% 15-11-2031 0 0 3.790 44.550
0,00% 15-11-2031 G 0 0 0 16.240
2,25% 15-11-2033 0 0 2.450 76.300
2,25% 15-11-2033 G 0 0 0 18.165
4,50% 15-11-2039 0 0 250 102.644
Total 0 0 26.605  
Kursværdi / Market value        
Forfald i 2025 / Maturing in 2025 0 0 13.456  
Forfald senere end 2025 / Maturing after 2025 0 0 12.270  

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