MUTUAL FUND LIST RELEASE 51/2007 3.5.2007 OMX Exchanges Ltd NEW MUTUAL FUNDS TO THE MUTUAL FUND LIST The following mutual funds managed by Fidelity International Ltd will be added to the Helsinki Stock Exchange mutual fund list on May 8th, 2007. Basic data of the mutual funds: Name of the mutual fund: Fidelity Multi Asset Navigator A Acc USD Code: FIDMANAU Fund type: Asset Allocation/GROWTH ISIN code: LU0286670517 Name of the mutual fund: Fidelity Multi Asset Navigator A USD Code: FIDMANU Fund type: Asset Allocation/YIELD ISIN code: LU0286670350 For both share classes: Minimum investment: 2 500 USD Service fees: Subscription: N/A Redemption: N/A Management (p.a.): N/A Custodian (p.a.): N/A Registration country: Luxembourg Shares/price: 1 Share price currency: USD HELSINKI STOCK EXCHANGE Fund Services For further details concerning the mutual fund list, please contact: Analyst Jarkko Imppola, Tel. +358 9 6166 7279