Note 36 - Debt securities in issue

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)

 

31 Dec 2018 31 Dec 2019 Securities debt distributed on significant currencies 31 Dec 2019 31 Dec 2018
15,548 13,315 NOK 13,315 15,548
26,512 27,270 EUR 27,270 26,512
2,209 2,429 Other 2,429 2,209
44,269 43,014 Total securities debt 43,014 44,269

  

Parent Bank and Group          
Change in securities debt 31 Dec 2019 Issued Fallen due/ redeemed Other changes 31 Dec 2018
Money market instrument - - 385 -7 391
Bond debt 42,722 6,230 6,036 -934 43,463
Adjustments 73 - - -85 158
Accrued interest 218 - - -38 256
Total 43,013 6,230 6,421 -1,064 44,269
           
Change in securities debt 31 Dec 2018 Issued Fallen due/ redeemed Other changes 31 Dec 2017
Money market instrument 391 391 - - -
Bond debt 43,463 12,390 9,815 -775 41,663
Adjustments 158 - - -49 207
Accrued interest 256 - - -68 324
Total 44,269 12,781 9,815 -891 42,194

Annual report and notes

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