Registration Statement No. 333-156118

Filed pursuant to Rule 424(b)(3)

 

Amendment dated May 10, 2010 to

Pricing Supplements No. 32, 33, 35 and 37, dated January 30, 2009 to Prospectus Supplement and Prospectus each dated December 15, 2008 relating to the Aktiebolaget Svensk Exportkredit (Swedish Export Credit Corporation) Medium-Term Note Program

 

ELEMENTS SM

 

Linked to the Rogers International Commodity Index®

—Total Return SM

Due October 24, 2022

 

The following issuances involved scheduled settlement between April 13, 2010 and May 10, 2010:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

 

$1,000,000

 

78.790%

 

$787,900

 

April 20, 2010

 

$5,000,000

 

77.973%

 

$3,898,650

 

April 19, 2010

 

$3,000,000

 

77.765%

 

$2,332,950

 

April 16, 2010

 

$1,000,000

 

77.715%

 

$777,150

 

April 15, 2010

 

$5,000,000

 

78.151%

 

$3,907,550

 

April 13, 2010

 

$5,000,000

 

78.151%

 

$3,907,550

 

April 13, 2010

 

 

Linked to the Rogers International Commodity Index®

—Agriculture Total Return SM

Due October 24, 2022

 

The following issuances involved scheduled settlement between April 13, 2010 and May 10, 2010:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

 

$2,000,000

 

72.632%

 

$1,452,640

 

May 3, 2010

 

 



 

Linked to the Rogers International Commodity Index®

—Energy Total Return SM

Due October 24, 2022

 

The following issuances involved scheduled settlement between April 13, 2010 and May 10, 2010:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

 

$1,000,000

 

65.298%

 

$652,980

 

April 30, 2010

 

 

Linked to the MLCX Grains Index®

—Total Return SM

Due February 13, 2023

 

The following issuances involved scheduled settlement between April 13, 2010 and May 10, 2010:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

 

$2,000,000

 

50.143%

 

$1,002,860

 

April 26, 2010

 

 

UPDATED CALCULATION OF REGISTRATION FEE

 

Title of Each Class of Securities
To Be Registered

 

Amount Registered

 

Aggregate Price Per Unit

 

Aggregate Offering
Price

 

Amount of Registration
Fee

Notes offered as described above

 

$25,000,000

 

74.881%

 

$18,720,230

 

$1,334.75(1)

 


(1)           The registration fee is calculated in accordance with Rule 457(r) under the Securities Act.  As of the filing of this pricing supplement, there are unused registration fees of $15,053.71 that have been paid in respect of the securities covered by pricing supplements Nos. 32, 33, 34, 35, 36, 37 and 38 under the registration statement on Form F-3 (No. 333-156118) of which these pricing supplements are a part. After giving effect to the registration fee for these offerings, $13,718.96 remains available for future offerings for such pricing supplements described above.

 


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