Udestående obligationer

Type

Issued Principal Amount

Coupon

Maturity

ISIN

Final terms (swedish only)

MTN

1,000 MSEK

3-month Stibor + 150 bp

20 Sept 2017

SE0004811099

Final terms 101

MTN

1,000 MSEK

3.125%

20 Sept 2017

SE0004811081

Final terms 102

MTN

400 MSEK

3-month Stibor + 125 bp

12 June 2019

SE0005249422

Final terms 105

MTN

550 MSEK

3-month Stibor + 85 bp

1 April 2019

SE0005851730

Final terms 106
Sidst opdateret: 07-12-2016 16:16