SEB Vilniaus bankas AB Release 17-01-2007 Regarding registration of bonds January 17 2007 Central Securities Depository of Lithuania opened a general securities account for one SEB Vilniaus bankas AB issue: ISIN code - LT1000310193 Type of securities Non-equities Units 419 760 Bond nominal value USD 100 (LTL 266.29) Total nominal value USD 41 976 000 (LTL 111 777 890) Annual interest rate 5.12% Redemption price USD 100 (LTL 266.29) Bond start date 13-01-2007 Redemption date 07-02-2007 Maturity 25 days Currency USD Credit risk Issuer's risk, without extra insurance Bond issue prospectus Not published Vykintas Misiūnas Director Trading and Capital Markets (8 5) 268 2375