Regarding registration of non-equities


September 7 2007 Central Securities Depository of Lithuania opened general 
securities accounts for six SEB Vilniaus bankas AB issues:


ISIN code - LT0000403958

Type of securities                 Non-equities
Units                              14 014
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 1 401 400 (EUR 405 873)
Participation rate                 47%
Indices                            Dow Jones EURO STOXX 50, S&P 500
Start date                         04-09-2007   
Redemption date                    23-09-2010   
Maturity                           1115 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Placement                          Public


ISIN code - LT0000403966

Type of securities                 Non-equities
Units                              9 193
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 919 300 (EUR 266 248)
Participation rate                 108%
Indices                            Dow Jones EURO STOXX 50, S&P 500
Start date                         04-09-2007   
Redemption date                    23-09-2010   
Maturity                           1115 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Placement                          Public


ISIN code - LT0000403974

Type of securities                 Non-equities
Units                              3 943
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 394 300 (EUR 114 197)
Participation rate                 168%
Indices                            Dow Jones EURO STOXX 50, S&P 500
Start date                         04-09-2007   
Redemption date                    23-09-2010   
Maturity                           1115 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Placement                          Public


ISIN code - LT0000402232

Type of securities                 Non-equities
Units                              62 292
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 6 229 200 (EUR 1 804 101)
Participation rate                 67%
Indices                            S&P/ASX 200, KOSPI 200, MSCI Taiwan
Start date                         04-09-2007   
Redemption date                    20-03-2009   
Maturity                           566 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Placement                          Public


ISIN code - LT0000402240

Type of securities                 Non-equities
Units                              119 027
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 11 902 700 (EUR 3 447 260)
Participation rate                 168%
Indices                            S&P/ASX 200, KOSPI 200, MSCI Taiwan
Start date                         04-09-2007   
Redemption date                    20-03-2009   
Maturity                           566 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Placement                          Public


ISIN code - LT1000402123

Type of securities                 Non-equities
Units                              2 225
Nominal value                      EUR 100 (LTL 345.28)
Total nominal value                EUR 222 500 (LTL 768 248)
Participation rate                 168%
Indices                            S&P/ASX 200, KOSPI 200, MSCI Taiwan
Start date                         04-09-2007   
Redemption date                    20-03-2009   
Maturity                           566 days
Currency                           EUR
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Placement                          Public


Evaldas Čepulis
Director 
Trading and Capital Markets
(8 5) 268 2366
GlobeNewswire