Borrowing programs
SEK’s funding activities aim to ensure stable and cost-effective financing that enables lending to our customers on competitive terms. Through well-established funding programs in the international capital markets, we have access to a broad investor base and a wide range of currencies, maturities, and structures.
For investors
Through our various funding programs, we can efficiently access the markets that offer the best opportunities for us to borrow.
Our funding is carried out through both long-term and short-term programs:
- USMTN Program
- EMTN Programme
- AUMTN Programme
- U.S. Commercial Paper Program USD 3,000,000,000
- Euro-Commercial Paper Program USD 4,000,000,000
Our goal is to offer investors attractive and tailored investment opportunities while ensuring a sustainable and diversified funding base for SEK’s operations.
Documents
USMTN Program 2023
Euro Medium-Term Note Programme Base Prospectus 2025
Euro Medium-Term Note Programme Base Prospectus 2024
Euro Medium-Term Note Programme Base Prospectus 2023
Euro Medium-Term Note Programme Base Prospectus 2022
Euro Medium-Term Note Programme Base Prospectus 2021
Euro Medium-Term Note Programme Base Prospectus 2020
Euro Medium-Term Note Programme Base Prospectus 2019
Euro Medium-Term Note Programme Base Prospectus 2016
Euro Medium-Term Note Programme Base Prospectus 2015
SEK Supplement July 2023
SEK Supplement May 2023