MUTUAL FUND LIST RELEASE 78/2007 12.6.2007 OMX Exchanges Ltd CORRECTION TO THE RELEASE 76/2007: NEW MUTUAL FUND TO THE MUTUAL FUND LIST The following mutual fund managed by Nordea Investment Funds S.A.(in release 76 stated incorrectly Nordea Rahastoyhtiö Finland Oy) will be added to the Helsinki Stock Exchange mutual fund list on June 14th, 2007. Basic data of the mutual fund: Name of the mutual fund: Nordea 1- Absolute Return High Yield Code: NABRETHY Fund type: Bond Fund/YIELD ISIN code: LU0278533582 Minimum investment: 50 EUR Service fees: Subscription: 1 % Redemption: 1 % Management (p.a.): 1.45 % Custodian (p.a.): N/A Registration country: Luxembourg Shares/price: 1 Share price currency: EUR HELSINKI STOCK EXCHANGE Fund Services For further details concerning the mutual fund list, please contact: Analyst Jarkko Imppola. Tel. +358 9 6166 7279