Regarding registration of non-equities


July 8 2008 Central Securities Depository of Lithuania opened general 
securities accounts for four SEB Bank issues:

ISIN code - LT0000430563

Type of securities                 Non-equities
Units                              30 846
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 3 084 600 (EUR 893 362)
Participation rate                 75%
Indices                            Dow Jones STOXX Select Dividend 30, 
                                   MSCI Taiwan, Hang Seng
Bond start date                    02-07-2008   
Redemption date                    21-07-2010  
Maturity                           749 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published


ISIN code - LT0000430571

Type of securities                 Non-equities
Units                              41 194
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 4 119 400 (EUR 1 193 061)
Participation rate                 75%
Indices                            Dow Jones STOXX Select Dividend 30, 
                                   MSCI Taiwan, Hang Seng
Bond start date                    02-07-2008   
Redemption date                    21-07-2010  
Maturity                           749 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published


ISIN code - LT0000430597

Type of securities                 Non-equities
Units                              8 152
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 815 200 (EUR 236 098)
Participation rate                 125%
Exchange rate                      EUR/USD 
Bond start date                    02-07-2008   
Redemption date                    21-07-2011  
Maturity                           1114 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published


ISIN code - LT1000403840

Type of securities                 Non-equities
Units                              1 829
Bond nominal value                 EUR 100 (LTL 345.28)
Total nominal value                EUR 182 900 (LTL 631 517)
Participation rate                 90%
Exchange rate                      EUR/USD
Bond start date                    02-07-2008   
Redemption date                    21-07-2011  
Maturity                           1114 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