- Date of transaction: 21.6.2007


Notification of issuer holdings	
	
Name:
Glitnir banki

Date of transaction:
21.6.2007

Buy or Sell:
Buy

Type of instrument:
Equities

Number of shares:
171.000.000

Price:
See notification

Primary insider's holdings after the transaction:
See notification

Date of settlement:
See notification

Reason for transaction:
With reference to a notification about with Glitnir bank's  compensation 
policy, published in the OMX news system the 8 of June 2008.  To meet its
obligations according to the beformentioned compensation policy the company has
commited itself to hand over 171 milljon shares in Glitnir bank on the period
that the plan sets out.