SEB Vilniaus bankas AB Release 12-02-2007 Regarding registration of bonds February 12 2007 Central Securities Depository of Lithuania opened general securities accounts for five SEB Vilniaus bankas AB issues: 1st Issue (ISIN code - LT0000403487) Type of securities Non-equities Units 63 263 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 6 326 300 (EUR 1 832 223) Participation rate 69% Indices Hang Seng China Enterprises, Hang Seng, MSCI Singapore Cash, MSCI Taiwan Start date 07-02-2007 Redemption date 18-02-2010 Maturity 1107 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Placement Public 2nd Issue (ISIN code - LT0000403495) Type of securities Non-equities Units 224 464 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 22 446 400 (EUR 6 500 927) Participation rate 94% Indices Hang Seng China Enterprises, Hang Seng, MSCI Singapore Cash, MSCI Taiwan Start date 07-02-2007 Redemption date 18-02-2010 Maturity 1107 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Placement Public 3rd Issue (ISIN code - LT0000403503) Type of securities Non-equities Units 696 096 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 69 609 600 (EUR 20 160 334) Participation rate 184% Indices Hang Seng China Enterprises, Hang Seng, MSCI Singapore Cash, MSCI Taiwan Start date 07-02-2007 Redemption date 18-02-2010 Maturity 1107 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Placement Public 4th Issue (ISIN code - LT1000403436) Type of securities Non-equities Units 8 116 Nominal value EUR 100 (LTL 345.28) Total nominal value EUR 811 600 (LTL 2 802 292) Participation rate 94% Indices Hang Seng China Enterprises, Hang Seng, MSCI Singapore Cash, MSCI Taiwan Start date 07-02-2007 Redemption date 18-02-2010 Maturity 1107 days Currency EUR Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond issue prospectus Not published 5th Issue (ISIN code - LT1000403444) Type of securities Non-equities Units 8 586 Nominal value EUR 100 (LTL 345.28) Total nominal value EUR 858 600 (LTL 2 964 574) Participation rate 184% Indices Hang Seng China Enterprises, Hang Seng, MSCI Singapore Cash, MSCI Taiwan Start date 07-02-2007 Redemption date 18-02-2010 Maturity 1107 days Currency EUR Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond issue prospectus Not published Vykintas Misiūnas Director Trading and Capital Markets (8 5) 268 2375