Regarding registration of non-equities


June 4 2010 Central Securities Depository of Lithuania opened general 
securities accounts for five SEB Bank issues:


ISIN code - LT0000431009

Type of securities                 Non-equities
Units                              56 592
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 5 659 200 (EUR 1 639 017.61)
Participation rate                 47%
Financial instruments              Market Vectors Russia ETF,
                                   Samsung Kodex 200 Exchange Traded Fund, 
                                   iShares MSCI Taiwan, 
                                   iShares MSCI Brazil Index Fund, 
                                   Hang Seng H-Share Index ETF,
                                   iShares MSCI Turkey Investable Market Index
                                   Fund 
Bond start date                    01-06-2010
Redemption date                    19-06-2013
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 - LT0000431017

Type of securities                 Non-equities
Units                              27 801
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 2 780 100 (EUR 805 172.61)
Participation rate                 158%
Financial instruments              Market Vectors Russia ETF,
                                   Samsung Kodex 200 Exchange Traded Fund, 
                                   iShares MSCI Taiwan, 
                                   iShares MSCI Brazil Index Fund, 
                                   Hang Seng H-Share Index ETF,
                                   iShares MSCI Turkey Investable Market Index
                                   Fund 
Bond start date                    01-06-2010
Redemption date                    19-06-2013
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 - LT1000430074

Type of securities                 Non-equities
Units                              6 421
Bond nominal value                 EUR 100 (LTL 345.28)
Total nominal value                EUR 642 100 (LTL 2 217 042.88)
Participation rate                 73%
Financial instruments              Market Vectors Russia ETF,
                                   Samsung Kodex 200 Exchange Traded Fund, 
                                   iShares MSCI Taiwan, 
                                   iShares MSCI Brazil Index Fund, 
                                   Hang Seng H-Share Index ETF,
                                   iShares MSCI Turkey Investable Market Index
                                   Fund 
Bond start date                    01-06-2010
Redemption date                    19-06-2013
Maturity                           1114 days
Currency                           EUR
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published



ISIN code - LT0000402513

Type of securities                 Non-equities
Units                              21 591 
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 2 159 100  (EUR 625 318.58)
Financial instruments              EUR/PLN 
                                   EUR/USD 
Bond start date                    01-06-2010
Redemption date                    16-12-2011
Maturity                           563 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published



ISIN code - LT1000402297

Type of securities                 Non-equities
Units                              3 808
Bond nominal value                 EUR 100 (LTL 345.28)
Total nominal value                EUR 380 800 (LTL 1 314 826.24)
Financial instruments              EUR/PLN 
                                   EUR/USD 
Bond start date                    01-06-2010
Redemption date                    16-12-2011
Maturity                           563 days
Currency                           EUR
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published




Evaldas Čepulis
Deputy Director 
Trading and Capital Markets
(8 5) 268 2375