February 11 2008 Central Securities Depository of Lithuania opened general securities accounts for seven SEB Bank issues: ISIN code - LT0000430415 Type of securities Non-equities Units 2 499 Bond nominal value LTL 100 (EUR 28.96) Total nominal value LTL 249 900 (EUR 72 376) Participation rate 60% Stock AB Apranga, AB Ūkio bankas, AS Tallinna Kaubamaja, AS Arco Vara Bond start date 06-02-2008 Redemption date 24-02-2011 Maturity 1 114 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond issue prospectus Published ISIN code - LT0000430423 Type of securities Non-equities Units 1 457 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 145 700 (EUR 42 198) Participation rate 110% Stock AB Apranga, AB Ūkio bankas, AS Tallinna Kaubamaja, AS Arco Vara Start date 06-02-2008 Redemption date 24-02-2011 Maturity 1 114 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond Issue prospectus Published ISIN code - LT0000430373 Type of securities Non-equities Units 55 438 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 5 543 800 (EUR 1 605 595) Participation rate 69% Index S&P BRIC 40 Start date 06-02-2008 Redemption date 24-02-2011 Maturity 1 114 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond Issue prospectus Published ISIN code - LT0000430381 Type of securities Non-equities Units 61 743 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 6 174 300 (EUR 1 788 201) Participation rate 125% Index S&P BRIC 40 Start date 06-02-2008 Redemption date 24-02-2011 Maturity 1 114 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond Issue prospectus Published ISIN code - LT0000430399 Type of securities Non-equities Units 33 963 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 3 396 300 (EUR 983 636) Participation rate 68% Index RDX Start date 06-02-2008 Redemption date 24-02-2011 Maturity 1 114 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond Issue prospectus Published ISIN code - LT0000430407 Type of securities Non-equities Units 51 858 Nominal value LTL 100 (EUR 28.96) Total nominal value LTL 5 185 800 (EUR 1 501 912) Participation rate 122% Index RDX Start date 06-02-2008 Redemption date 24-02-2011 Maturity 1 114 days Currency LTL Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond Issue prospectus Published ISIN code - LT1000403675 Type of securities Non-equities Units 5 964 Nominal value EUR 100 (LTL 345.28) Total nominal value EUR 596 400 (LTL 2 059 250) Participation rate 102% Index RDX Start date 06-02-2008 Redemption date 02-02-2011 Maturity 1 114 days Currency EUR Credit risk Issuer's risk, without extra insurance Listing This issue will not be listed Bond Issue prospectus Published Evaldas Čepulis Director Trading and Capital Markets (8 5) 268 2375