Registration Statement No. 333-221336
Filed pursuant to Rule 424(b)(3)
Amendment dated October 2, 2019 to
Pricing Supplement No. 26, dated May 14, 2019 to Prospectus Supplement and Prospectus each dated November 3, 2017 relating to the Aktiebolaget Svensk Exportkredit (publ) (Swedish Export Credit Corporation)
Medium-Term Note Program, Series F
Linked to the ICE BofAML Commodity index eXtra (Grains)
— Total ReturnSM
Due February 14, 2023
The following issuances involved scheduled settlement between April 9, 2018 and October 2, 2019:
Principal Amount |
| Purchase Price |
| Aggregate Offering Price |
| Settlement Date |
|
$500,000 |
| 29.026% |
| $145,130 |
| September 11, 2019 |
|
$400,000 |
| 29.026% |
| $116,104 |
| September 11, 2019 |
|
$800,000 |
| 28.836% |
| $230,688 |
| September 12, 2019 |
|
$200,000 |
| 28.836% |
| $57,672 |
| September 12, 2019 |
|
$500,000 |
| 29.046% |
| $145,230 |
| September 13, 2019 |
|
$200,000 |
| 29.328% |
| $58,656 |
| September 17, 2019 |
|
$300,000 |
| 29.900% |
| $89,700 |
| September 18, 2019 |
|
$200,000 |
| 30.186% |
| $60,372 |
| September 20, 2019 |
|
UPDATED CALCULATION OF REGISTRATION FEE
Title of Each Class of |
| Amount |
| Aggregate Price Per |
| Aggregate Offering |
| Amount of Registration |
|
Notes offered as described above |
| $3,100,000 |
| 29.147% |
| $903,552 |
| $117.28(1) |
|
(1) The registration fee is calculated in accordance with Rule 457(r) under the Securities Act. The registration fee of US$117.28 for this offering is being paid out of SEK’s SEC account, the current balance of which is US$16,050.88 as of the date hereof. After payment of the registration fee for this offering, US$15,933.60 remains available in SEK’s account for future registration fees.