Term ISIN Issued Amount, M SEK Outstanding Amount, M SEK Bonds in own account, M SEK Maturity date Coupon Type
2020-2025 XS2275409824 200 145 0  2025-12-18  1.170 + STIBOR  Social
2020-2027 XS2111589219 600 600 554  2027-01-30  1.500* + STIBOR  Green
2019-Hybrid SE0013234531 575 575 228  Hybrid  6.850 + STIBOR  Offentliga Hus, Hybrid
2019-Hybrid SE0013359148 1,500 1,500 256  Hybrid  3.500 + STIBOR  Hybrid
Term ISIN Issued Amount, M EUR Outstanding Amount, M EUR Bonds in own account, M EUR Maturity date Coupon Type
2019-2026 XS2049823680 500 500 473  2026-09-04  1.125*
2020-2027 XS2114871945 750 737 695  2027-08-12  1.000*
2020-2028 XS2271332285 700 695 685  2028-12-14  0.750  Social
2021-2029 XS2346224806 950 795 789  2029-11-26  1.125  Social
2020-2040 XS2151934978 50 50 25  2040-04-03 3.000*
2020-Hybrid XS2010032618 500 360 120  Hybrid  4,979  Hybrid
2020-Hybrid XS2272358024 500 382 196  Hybrid  2.630  Hybrid
2021-Hybrid XS2010028186 500 373 139  Hybrid  2.875  Hybrid Social
*Subject to Step Up Margin
**Currently deferred