Corporate note placement results


AB DnB NORD Bankas (company code 112029270, VAT payer code LT120292716,
registered office at J. Basanavičiaus St. 26, Vilnius, the data is collected
and stored at the Register of Legal Entities,) placed the following corporate
note issues: 
 
ISIN                         LT0000310690;
Type                         Zero coupon note No PO 11/2007;
Number of securities         150644;
Par                          100 LTL;
Aggregate nominal value      15064400 LTL;
Placement completion date    2007-05-31;
Interest rate commencement   2007-05-31;
Redemption                   2007-07-02;
Status                       Unsubordinated, unguaranteed and non-convertible;
Collateral                   Without collateral;
Authorization                February 12, 2007 resolution of the management
board; 
Listing                      These notes will not be listed;

ISIN                         LT0000310708;
Type                         Zero coupon note No PO 12/2007;
Number of securities         150563;
Par                          100 LTL;
Aggregate nominal value      15056300 LTL;
Placement completion date    2007-05-31;
Interest rate commencement   2007-05-31;		
Redemption                   2007-06-29;
Status                       Unsubordinated, unguaranteed and non-convertible;
Collateral                   Without collateral;
Authorization                February 12, 2007 resolution of the management
board; 
Listing                      These notes will not be listed.

ISIN                         LT0000320038;
Type                         Zero coupon note No PO 13/2007;
Number of securities         109879;
Par                          100 LTL;
Aggregate nominal value      10987900 LTL;
Placement completion date    2007-05-31;
Interest rate commencement   2007-05-31;		
Redemption                   2007-07-31;
Status                       Unsubordinated, unguaranteed and non-convertible;
Collateral                   Without collateral;
Authorization                February 12, 2007 resolution of the management
board; 
Listing                      These notes will not be listed.

ISIN                         LT0000310716;
Type                         Zero coupon note No PO 14/2007;
Number of securities         100405;
Par                          100 LTL;
Aggregate nominal value      10040500 LTL;
Placement completion date    2007-06-04;
Interest rate commencement   2007-06-04;		
Redemption                   2007-07-05;
Status                       Unsubordinated, unguaranteed and non-convertible; 
Collateral                   Without collateral;
Authorization                February 12, 2007 resolution of the management
board; 
Listing                      These notes will not be listed.

Andrius Vilkancas 
Press Officer
tel. +370 5  239 3413