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ISIN code Series Amount Issued  Maturity Label
SE0012193621 579 53,702  18 Mar 2019 18 Dec 2024  
SE0013101722 580 55,402 17 Dec 2019 17 Dec 2025  
SE0013102043 Previous 581  60,402 1 Feb 2021 16 Dec 2026  
SE0017780182 Previous 601

48,852

7 Sep 2022 6 Dec 2027  
SE0017780430 Previous 602 34,402 14 Feb 2023 6 Nov 2028  
SE0017780422 Previous 603

37,634

14 Feb 2023 6 Dec 2029  
SE0013102001 Previous 584 600 4 Dec 2020 19 Dec 2029  
SE0004269728 459  1,000 20 Oct 2011 20 Oct 2031  
SE0002829200 594  2,794 21 Sep 2008  21 Sep 2039  

 

ISIN code Currency Amount Issued Maturity Label
XS1633824823 EUR 1,000 13 Jun 2017 20 Jun 2024  
XS2623820953 EUR 1,750 17 May 2023 4 Nov 2025  
XS1948598997 EUR 1,250 7 Feb 2019 9 Feb 2026  
XS2462455689 EUR 1,500 28 Mar 2022 28 Jun 2027  
XS1716825507 EUR 750 15 Nov 2017 15 Nov 2027  
XS2592234749 EUR  1,500 27 Feb 2023 4 May 2028  

 

ISIN code Currency Amount  Issued Maturity Label
XS2635183069 EUR 1,250 13 Jun 2023 13 Jun 2025  
XS2558953621 EUR 1,000 24 Nov 2022 24 Nov 2025  
XS2478690931 EUR 1,000 11 May 2022 11 Nov 2026  
XS2813108870 EUR 750 3 May 2024 3 May 2027  
XS2643041721 EUR 1,000 29 Jun 2023 29 Jun 2027 Green
XS2619751576 EUR 1,000 9 May 2023 9 May 2028  
XS2629368999 GBP 350 1 Jun 2023 1 Jun 2026  
XS2623129504 SEK 2.500 15 May 2023 15 May 2026  
XS2623128878 SEK 3,000 15 May 2023 15 May 2026  
US83051GAS75 USD 750 31 Aug 2021 9 Sep 2024  
US830505AX19 USD 700 1 Jun 2022 9 Jun 2025  
US830505AY91 USD 400 1 Jun 2022 9 Jun 2025  
US83051GAR92 USD 600 25 Aug 2020 2 Sep 2025  
US83051GAU22 USD 750 12 Nov 2021 19 Nov 2025  
US83051GAT58 USD 750 31 Aug 2021 9 Sep 2026  
US830505AZ66 USD 650 5 Mar 2024 5 Mar 2027  
US830505BA07 USD 350 5 Mar 2024 5 Mar 2027  

 

 

ISIN code Currency Amount  Issued Maturity Label
XS2553798443 EUR 1,000  9 Nov 2022 9 Nov 2026  Green
XS2115094737 EUR  1,000  11 Feb 2020 11 Feb 2027   
XS2442768227 EUR 1,000  9 Feb 2022 9 Aug 2027  Green
XS2583600791 EUR 1,000  7 Feb 2023 7 Feb 2028   
XS2356049069 EUR 1,000 21 Jun 2021 21 Jun 2028  
XS2713671043 EUR 500 6 Nov 2023 6 Nov 2028 Green
XS2078737215 EUR 1,000 12 Nov 2019 12 Nov 2029  
XS2527848027 SEK 3,000  1 Sep 2022 1 Sep 2026   
XS2527848530 SEK 2,000  1 Sep 2022 1 Sep 2026   
US830505BB89 USD 750 5 Mar 2024 5 Mar 2029  

 

 

ISIN code  Currency Amount Issued Maturity First call date  Label
XS2404247384 EUR 500 3 Nov 2021 3 Nov 2031 3 Nov 2026  
XS2668512515 EUR 500 17 Aug 2023 17 Aug 2033 17 Aug 2028  
XS2713309107 SEK 2,750 3 Nov 2023 3 Nov 2033 3 Nov 2028  
XS2713297419 SEK 1,250 3 Nov 2023 3 Nov 2033 3 Nov 2028  
XS2774448521 EUR 500 27 Feb 2024 27 Nov 2034 27 Nov 2029  

 

 

ISIN code Currency Amount  Issued Maturity First call date Label
XS2076169668 USD 900 5 Nov 2019 Perpetual 13 May 2025  
XS2076169668           Floor Price Adjustment
XS2479344561 USD 500 8 Jun 2022 Perpetual 30 Jun 2027  
XS2479344561           Floor Price Adjustment

 

Kontakta oss på SEB Investor Relations

Besöksadress: SEB, Kungsträdgårdsgatan 8, Stockholm, Sweden
Växel: +46 771 62 10 00, från utlandet +46 771 62 10 00

 

Pawel Wyszynski, Head of Investor Relations +46 70 462 21 11
Philippa Allard, Senior Debt Investor Relations Officer +46 70 618 83 35
Per Andersson, Senior Investor Relations Officer +46 70 667 74 81
Amelie Blecher, Debt Investor Relations Officer +46 70 462 21 96
Malin Schenkenberg, Senior Investor Relations Officer +46 70 763 95 31