Outstanding listed issues under the GMTN Program
| Final Terms Series No. | Currency | Nominal (million) | Issue date | Maturity date | Coupon | ISIN |
|---|---|---|---|---|---|---|
| 13 | EUR | 30 | 15-Feb-2012 | 15-Feb-2027 | Fixed 4.00% | XS0744935130 |
| 40 | EUR | 70 | 17-Apr-2015 | 17-Apr-2030 | Fixed 1.25% | XS1219616106 |
| 48 | NOK | 300 | 28-Jun-2017 | 28-Jun-2027 | Fixed 2.65% | XS1636267996 |
| 52 | EUR | 28 | 4-Oct-2017 | 4-Oct-2029 | Fixed 1.375% | XS1683358904 |
| 53 | NOK | 200 | 12-Oct-2017 | 12-Oct-2027 | Fixed 2.68% | XS1698119382 |
| 54 | EUR | 26 | 19-Oct-2017 | 19-Oct-2029 | Fixed 1.50% | XS1701868009 |
| 56 | EUR | 50 | 15-Feb-2018 | 15-Feb-2027 | Fixed 1.250% | XS1771909345 |
| 57 | EUR | 30 | 1-Mar-2018 | 1-Mar-2030 | Fixed 1.60% | XS1771869614 |
| 68 | EUR | 20 | 4-Mar-2019 | 4-Mar-2026 | Fixed 0.882% | XS1954219272 |
| 70 | EUR | 15 | 10-May-2019 | 10-May-2029 | Fixed 1.05% | XS1993960050 |
| 71 | EUR | 10 | 22-May-2019 | 15-Aug-2029 | Fixed 0.96% | XS2000630660 |
| 73 | EUR | 100 | 28-Aug-2019 | 28-Aug-2034 | Fixed 0.65% | XS2045892838 |
| 75 | CHF | 50 | 19-Nov-2019 | 19-Nov-2026 | Fixed 0.20% | XS2081036449 |
| 77 | EUR | 10 | 26-Feb-2020 | 17-Feb-2031 | Fixed 0.48% | XS2125175344 |
| 82 | SEK | 150 | 20-Oct-2022 | 20-Oct-2026 | FRN 3m STIBOR+1.06% | XS2547940317 |
| 83 | SEK | 275 | 20-Oct-2022 | 20-Oct-2026 | Fixed 4.250% | XS2547941398 |
| 85 | EUR | 600 | 13-Sep-2023 | 13-Sep-2026 | Fixed 3.75% | XS2678207676 |
| 86 | EUR | 600 | 13-Sep-2023 | 13-Sep-2030 | Fixed 3.875% | XS2678226114 |
| 87 | EUR | 600 | 13-Sep-2023 | 13-Sep-2035 | Fixed 4.125% | XS2678191904 |
| 88 (Tranche 1) | SEK | 2 500 | 15-Dec-2023 | 15-Mar-2027 | FRN 3m STIBOR+0.70% | XS2733417575 |
| 88 (Tranche 2) | SEK | 500 | 15-Jan-2024 | 15-Mar-2027 | FRN 3m STIBOR+0.70% | XS2733417575 |
| 89 | NOK | 1 000 | 1-Mar-2024 | 1-Mar-2032 | Fixed 4.792% | XS2772108861 |
| 90 (Tranche 1) | SEK | 800 | 4-Apr-2024 | 4-Apr-2028 | FRN 3m STIBOR+0.60% | XS2797444895 |
| 90 (Tranche 2) | SEK | 300 | 12-Jun-2024 | 4-Apr-2028 | FRN 3m STIBOR+0.60% | XS2797444895 |
| 90 (Tranche 3) | SEK | 100 | 14-Jun-2024 | 4-Apr-2028 | FRN 3m STIBOR+0.60% | XS2797444895 |
| 92 | SEK | 1 000 | 29-Aug-2024 | 29-Aug-2029 | FRN 3m STIBOR+0.70% | XS2892322061 |
| SEK | 250 | 17-Jan-2025 | 17-Jan-2028 | FRN 3m STIBOR+0.49% | XS2979608499 | |
| 94 (Tranche 2) | SEK | 1 150 | 24-Jan-2025 | 17-Jan-2028 | FRN 3m STIBOR+0.49% | XS2979608499 |
| 95 | SEK | 1 000 | 26-Feb-2025 | 26-Feb-2029 | FRN 3m STIBOR+0.59% | XS3009560684 |
| 96 | EUR | 30 | 6-Mar-2025 | 6-Mar-2035 | Fixed 3.343% | XS3015755484 |
| 99 | EUR | 500 | 9-Sep-2025 | 9-Sep-2032 | Fixed 3.371% | XS3174757644 |
| 100 | SEK | 1000 | 4-Feb-2026 | 4-Feb-2031 | Fixed 3.190% | XS3282849952 |