MUTUAL FUND LIST RELEASE 33/2009 20.03.2009 NASDAQ OMX Nordic Oy NEW MUTUAL FUNDS TO THE MUTUAL FUND LIST The following mutual funds managed by OP-Rahastoyhtiö Oy will be added to the NASDAQ OMX Helsinki mutual fund list on March 23rd, 2009. Basic data of the mutual funds: Name of the mutual fund: OP-Likvidi A Code: OPLIKVIA Fund type: Money Market Fund/GROWTH ISIN code: FI0008814462 Minimum investment: N/A Service fees: Subscription: 0 % Redemption: 0 % Management (p.a.): 0.4 % Custodian (p.a.): N/A Registration country: Finland Shares/price: 1 Share price currency: EUR Name of the mutual fund: OP-Likvidi B Code: OPLIKVIB Fund type: Money Market Fund/YIELD ISIN code: FI0008814470 Minimum investment: N/A Service fees: Subscription: 0 % Redemption: 0 % Management (p.a.): 0.4 % Custodian (p.a.): N/A Registration country: Finland Shares/price: 1 Share price currency: EUR Name of the mutual fund: OP-Likvidi II A Code: OPLIKVI2A Fund type: Money Market Fund/GROWTH ISIN code: FI0008814488 Minimum investment: 100 000 EUR Service fees: Subscription: 0 % Redemption: 0 % Management (p.a.): 0.2 % Custodian (p.a.): N/A Registration country: Finland Shares/price: 1 Share price currency: EUR Name of the mutual fund: OP-Likvidi II B Code: OPLIKVI2B Fund type: Money Market Fund/YIELD ISIN code: FI0008814496 Minimum investment: 100 000 EUR Service fees: Subscription: 0 % Redemption: 0 % Management (p.a.): 0.2 % Custodian (p.a.): N/A Registration country: Finland Shares/price: 1 Share price currency: EUR Name of the mutual fund: OP-Likvidi X Code: OPLIKVIX Fund type: Money Market Fund/GROWTH ISIN code: FI0008814504 Minimum investment: N/A Service fees: Subscription: 0 % Redemption: 0 % Management (p.a.): 0 % Custodian (p.a.): N/A Registration country: Finland Shares/price: 1 Share price currency: EUR NASDAQ OMX HELSINKI Fund Services Kris Haljak Funds Administration Specialist