| Parent Bank |
|
Group |
| 31 Dec 2018 |
31 Dec 2019 |
(NOK million) |
31 Dec 2019 |
31 Dec 2018 |
| 392 |
- |
Money market instrument and other short-term borrowings |
- |
392 |
| 43,877 |
43,014 |
Bond debt |
43,014 |
43,877 |
| 44,269 |
43,014 |
Total debt securities in issue |
43,014 |
44,269 |
| |
|
|
|
|
| 2.9 % |
3.1 % |
Average interest, money market certificates |
3.1 % |
2.9 % |
| 1.4 % |
1.3 % |
Average interest, bond debt |
1.3 % |
1.4 % |
| |
|
|
|
|
| |
|
|
|
|
| 31 Dec 2018 |
31 Dec 2019 |
Securities debt specified by maturity 1) |
31 Dec 2019 |
31 Dec 2018 |
| 5,284 |
- |
2019 |
- |
5,284 |
| 9,463 |
7,833 |
2020 |
7,833 |
9,463 |
| 8,448 |
8,713 |
2021 |
8,713 |
8,448 |
| 5,854 |
5,805 |
2022 |
5,805 |
5,854 |
| 8,921 |
8,918 |
2023 |
8,918 |
8,921 |
| 4,000 |
4,500 |
2024 |
4,500 |
4,000 |
| - |
4,935 |
2026 |
4,935 |
- |
| 500 |
499 |
2029 |
499 |
500 |
| 299 |
296 |
2031 |
296 |
299 |
| 249 |
247 |
2032 |
247 |
249 |
| 299 |
296 |
2033 |
296 |
299 |
| - |
148 |
2034 |
148 |
- |
| 259 |
257 |
2035 |
257 |
259 |
| 279 |
276 |
2044 |
276 |
279 |
| 18 |
19 |
Currency agio |
19 |
18 |
| 140 |
54 |
Premium and discount, market value of structured bonds |
54 |
140 |
| 256 |
218 |
Accrued interest |
218 |
256 |
| 44,269 |
43,014 |
Total securities debt |
43,014 |
44,269 |
| 1) Less own bonds. At year-end 2019 there is no own holding (NOK 65 million) |