- CORRECTION: New Money Market Listing (MPB 07 1116) eff. 26 July 2007


Correction: Orderbook ID.


Issuer:                                                                         
MP Fjárfestingarbanki hf., kt. 540599-2469,                                     
Skipholt 50d                                                                    
Reykjavík                                                                       

Date of admission:                                                              
26.07.2007                                                                      

Symbol:                                                                         
MPB 07 1116                                                                     

ISIN-code:                                                                      
IS0000013936                                                                    

Orderbook ID:                                                                   
41914                                                                         

Bond type:                                                                      
Bullet                                                                          

Market:                                                                         
ICEX Fixed Income                                                               

Size limits:                                                                    
ISK 5,000,000,000                                                               

Issued:                                                                         
ISK 1,100,000,000                                                               

Denomination:                                                                   
ISK 5,000,000                                                                   

Issue date:                                                                     
02.05.2007                                                                      

First due date:                                                                 
16.11.2007                                                                      

Number of due dates:                                                            
1                                                                               

Maturity date:                                                                  
16.11.2007                                                                      

Interests calculated from:                                                      
N/A                                                                             

First interest payment date:                                                    
N/A                                                                             

Number of interest payments:                                                    
N/A                                                                             

Interest:                                                                       
N/A                                                                             

Indexed:                                                                        
No                                                                              

Name of index:                                                                  
N/A                                                                             

Base index value:                                                               
N/A                                                                             

Dirty price / Clean price:                                                      
N/A                                                                             

Day count convention:                                                           
Act/360                                                                         

Call option:                                                                    
No                                                                              

Put option:                                                                     
No                                                                              

Convertible:                                                                    
No                                                                              

Market making:                                                                  
No                                                                              

Credit Rating (date):                                                           
N/A                                                                             

Securities depository:                                                          
Icelandic Securities Depository                                                 

Issued electronically:                                                          
Yes                                                                             

OMX ICE member responsible for admission to trading:                            
MP Fjárfestingarbanki hf.