Issuer: Atorka Group hf. Hlíðarsmári 1, 201 Kópavogur ID No. 600390-2289 Date of admission: 17.12.2007 Symbol: ATOR 07 6 ISIN-code: IS0000016053 Orderbook ID: 51051 Bond type: Interest bearing Market: OMX ICE CP Fixed Income Size limits: 5,000,000,000 ISK Issued: 3,300,000,000 ISK Denomination: 10,000,000 ISK Issue date: 1 November 2007 First due date: 5 April 2010 Number of due dates: 1 Maturity date: 5 April 2010 Interests calculated from: 1 November 2007 First interest payment date: 5 April 2008 Number of interest payments: 5 Interest: 6 month REIBOR plus 230bp Indexed: N/A Name of index: N/A Base index value: N/A Dirty price / Clean price: Clean price Day count convention: Act/360 - Modified Following Adjusted Call option: N/A Put option: N/A Convertible: N/A Market making: N/A Credit Rating (rating agency, date): N/A Securities depository: Icelandic Securities Depository Issued electronically: Yes OMX ICE member responsible for admission to trading: Landsbanki Íslands hf.