Funding programs

Name/type Program/facility size Launched
European Medium-Term Note program 3,000 MEUR 2009
Dealers: Barclays Bank plc, BNP Paribas, Citigroup Global Markets Limited, Danske Bank A/S, Deutsche Bank AG (London Branch), Svenska Handelsbanken AB (publ), HSBC Bank plc, JP Morgan Securities Ltd, Mitsubishi UFJ Securities International plc, Nordea Bank Danmark A/S, The Royal Bank of Scotland plc, Skandinaviska Enskilda Banken AB (publ), Societe Generale
Issues: 70 MEUR 4.15% 1 February 2021
150 MEUR 3.80% 15 February 2022
30 MEUR 4.0% 24 October 2024
75 MEUR 4.0% 14 March 2025
39 MEUR 3.0% 15 July 2025
35 MEUR 4.0% 17 September 2025
350 MEUR 3.0% 18 June 2026
50 MEUR 4.1% 2 July 2027
70 MEUR 3.7% 12 July 2023
25 MEUR 3.55% 11 April 2029
46 MEUR 3.73% 8 April 2032
25 MEUR 4.0% 20 September 2032
48 MEUR 4.0% 20 September 2032
50 MEUR 4.0% 11 January 2033
40 MEUR 3.96% 3 October 2033
Swedish Medium-Term Note program 15,000 MSEK 2007 
Dealers: Danske Bank A/S, Svensk Handelsbanken AB (publ), Nordea Bank Danmark A/S, Skandinaviska Enskilda Banken AB (publ), AB SEK Securities, Swedbank Markets
Issues: Amount: Final maturity:
Loan 119
500 MSEK
3m STIBOR + 3.95%
6 Feb 2024
Loan 126 500 MSEK 3m STIBOR + 1.80% 15 Nov 2021
Loan 128 500 MSEK 3m STIBOR + 2.19% 20 Dec 2023
Loan 129 150 MSEK 3.75% 11 Oct 2021
Loan 132 500 MSEK 3.00% 14 Jan 2021
Loan 133 1,500 MSEK 3m STIBOR + 1.17% 14 Jan 2021
Swedish commercial paper program
10,000 MSEK
2001
Dealers: Danske Bank, Handelsbanken, Nordea, SEB, Swedbank
European commercial paper program 750 MEUR 2002
Dealers: Citibank, Deutsche Bank, SEB
Revolving credit facility, maturing 2023 9 BSEK 2016
Arrangers: Handelsbanken Capital Markets, Svenska Handelsbanken AB (publ), Skandinaviska Enskilda Banken AB (publ), Nordea Bank AB (publ), Citigroup Global Markets Limited, Danske Bank A/S (Danmark, Sverige Filial), Deutsche Bank Luxembourg S.A. Investment Banking, HSBC Bank plc, Societe Generale, Swedbank AB (publ), Standard Chartered Bank, The Bank of Tokyo-Mitsubishi UFJ, LTD, JP Morgan Limited, Credit Agricole CIB.

Debt program

Base Prospectus in relation to Medium Term Note Program (MTN) of SEK 15.000.000.000 dated 2017-01-31 and European Medium Term Note Programme (EMTN) of EUR 3.000.000.000 dated 2017-12-15.

Tilläggsprospekt MTN program (PDF document, 266 kB)
(publ. 2015-06-12)

Grundprospekt för Sandvik AB:s svenska MTN-program
 (PDF document, 718 kB)
(publ. 2015-02-19)

2014

Base prospectus (PDF document, 721 kB)
(publ. 2014-12-19)

Tilläggsprospekt 31 juli (PDF document, 269 kB)
(publ. 2014-07-31)

Tilläggsprospekt 6 maj (PDF document, 325 kB)
(publ. 2014-05-06)

Supplement Q1
 (PDF document, 225 kB)
(publ. 2014-04-29)

Supplement (PDF document, 218 kB)
(publ. 2014-04-04)

2013

Grundprospekt för Sandvik AB:s svenska MTN-program 2013
 (PDF document, 678 kB)
(publ 2013-08-30)

Base prospectus (PDF document, 3.4 MB)
(publ. 2013-07-17)

2012

Base prospectus (PDF document, 601 kB)
(publ. 2012-12-20)

2011

Grundprospekt för Sandvik AB:s svenska MTN-program 2011  (PDF document, 397 kB)
(publ. 2011-11-18)

Base prospectus (PDF document, 2 MB)
(publ. 2011-12-22)

2010

Grundprospekt för Sandvik AB:s svenska MTN-program 2010  (PDF document, 198 kB)
(publ. 2010-09-27)

Base prospectus (PDF document, 781 kB)
(publ. 2010-11-05)

2009

Base prospectus (PDF document, 401 kB)
(publ. 2009-02-13)

2008

Grundprospekt för Sandvik AB:s svenska MTN-program 2008  (PDF document, 378 kB)
(publ 2008-11-27)

2007

Grundprospekt för Sandvik AB:s svenska MTN-program 2007  (PDF document, 387 kB)
(publ. 2007-10-25)

Prospekttillägg nr 1  (PDF document, 478 kB)
Prospekttillägg nr 2  (PDF document, 318 kB) (publ. 2008-05-21)

2006

Grundprospekt för Sandvik AB:s svenska MTN-program 2006  (PDF document, 397 kB)
(publ. 2006-07-11)

Tilläggsprospekt nr 1  (PDF document, 11 kB)
Tilläggsprospekt nr 2  (PDF document, 12 kB) (publ. 2007-09-25)