MUTUAL FUND LIST RELEASE 55/2007 11.5.2007 OMX Exchanges Ltd NEW MUTUAL FUND TO THE MUTUAL FUND LIST The following mutual fund managed by OP-Rahastoyhtiö Oy will be added to the Helsinki Stock Exchange mutual fund list on May 14th, 2007. Basic data of the mutual fund: Name of the mutual fund: OP-Absoluuttinen Salkku A Code: OPABSOSA Fund type: Asset Allocation/GROWTH ISIN code: FI0008812086 Minimum investment: 30 000 EUR Service fees: Subscription: 1 % (min 8 EUR) Redemption: 1 % (min 8 EUR) Management (p.a.): 1.3 % Custodian (p.a.): N/A Registration country: Finland Shares/price: 1 Share price currency: EUR HELSINKI STOCK EXCHANGE Fund Services For further details concerning the mutual fund list, please contact: Analyst Jarkko Imppola, Tel. +358 9 6166 7279