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Programme for the Continuous Issuance of Debt InstrumentsIssue of a Series ofEUR 50,000,000Floating Rate Dated Subordinated Callable Instruments due 2015Series No.: 2530 ISIN Code : XS0221768624
Notice is hereby given that, pursuant to ‘The Provisions Relating to Redemption’ Clause 20 of the Final Terms dated 30th June 2005, the AB Svensk Exportkredit will redeem EUR 50,000,000 of the Notes at 100% of their outstanding principal amount on the 30st June 2010, payable on the 30th June 2010