Registration Statement No. 333-178202

Filed pursuant to Rule 424(b)(3)

 

Amendment dated March 4, 2013 to

Pricing Supplement No. 6, dated December 2, 2011, Pricing Supplement No. 4, dated November 30, 2011 and Pricing Supplement No. 5, dated December 1, 2011 to Prospectus Supplement and Prospectus dated November 28, 2011 relating to the Aktiebolaget Svensk Exportkredit (publ) (Swedish Export Credit Corporation)
Medium-Term Note Program

 

ELEMENTS SM

 

Linked to the Rogers International Commodity Index ®

Total Return SM

Due October 24, 2022

 

The following issuances involved scheduled settlement between February 2, 2013 and March 1, 2013:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

$4,000,000

 

89.458%

 

$3,578,320

 

February 8, 2013

$4,000,000

 

89.458%

 

$3,578,320

 

February 8, 2013

$2,500,000

 

89.237%

 

$2,230,925

 

February 20, 2013

$3,000,000

 

86.559%

 

$2,596,770

 

February 27, 2013

$1,150,000

 

86.559%

 

$995,429

 

February 27, 2013

 

Linked to the Rogers International Commodity Index ®

Metals Total Return SM

Due October 24, 2022

 

The following issuances involved scheduled settlement between February 2, 2013 and March 1, 2013:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

$800,000

 

105.198%

 

$841,584

 

February 27, 2013

 



 

Linked to the Rogers International Commodity Index®

Agriculture Total Return SM

Due October 24, 2022

 

The following issuances involved scheduled settlement between February 2, 2013 and March 1, 2013:

 

Principal Amount

 

Purchase Price

 

Aggregate Offering Price

 

Settlement Date

$6,000,000

 

93.042%

 

$5,582,520

 

February 8, 2013

$3,500,000

 

93.042%

 

$3,256,470

 

February 8, 2013

$2,500,000

 

92.957%

 

$2,323,925

 

February 11, 2013

$4,000,000

 

92.110%

 

$3,684,400

 

February 13, 2013

$8,000,000

 

90.138%

 

$7,211,040

 

February 27, 2013

 

UPDATED CALCULATION OF REGISTRATION FEE

 

Title of Each Class of
Securities To Be Registered

 

Amount
Registered

 

Aggregate Price Per
Unit

 

Aggregate Offering
Price

 

Amount of Registration
Fee

Notes offered as described above

 

$ 39,450,000.00

 

90.950 %

 

$35,879,703.00

 

$4,893.99(1)

 


(1)           The registration fee is calculated in accordance with Rule 457(r) under the Securities Act.  As of the filing of these pricing supplements, there are unused registration fees of $60,592.22 that have been paid in respect of the securities covered by pricing supplements No. 6, No. 4 and No. 5 under the registration statement on Form F-3 (No. 333-178202) of which these pricing supplements are a part. After giving effect to the registration fee for these offerings, $55,698.23 remain available for future offerings for such pricing supplements described above.