Regarding registration of non-equities


December 19 2007 Central Securities Depository of Lithuania opened general 
securities accounts for seven SEB Vilniaus bankas AB issues:

ISIN code - LT0000430266

Type of securities                 Non-equities
Units                              49 223
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 4 922 300 (EUR 1 425 597)
Participation rate                 48%
Index                              FTSE/JSE Africa TOP40
Bond start date                    14-12-2007   
Redemption date                    02-02-2011  
Maturity                           1 146 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published

ISIN code - LT0000430274

Type of securities                 Non-equities
Units                              51 862
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 5 186 200 (EUR 1 502 027)
Participation rate                 97%
Index                              FTSE/JSE Africa TOP40
Start date                         14-12-2007   
Redemption date                    02-02-2011
Maturity                           1 146 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT0000430282

Type of securities                 Non-equities
Units                              50 026
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 5 002 600 (EUR 1 448 853)
Participation rate                 51%
Index                              DAXglobal Emerging 11
Start date                         14-12-2007   
Redemption date                    02-02-2011
Maturity                           1 146 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT0000430290

Type of securities                 Non-equities
Units                              46 978
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 4 697 800 (EUR 1 360 577)
Participation rate                 105%
Index                              DAXglobal Emerging 11
Start date                         14-12-2007   
Redemption date                    02-02-2011
Maturity                           1 146 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT1000403642

Type of securities                 Non-equities
Units                              20 894
Nominal value                      EUR 100 (LTL 345.28)
Total nominal value                EUR 2 089 400 (LTL 7 214 280)
Participation rate                 98%
Index                              DAXglobal Emerging 11
Start date                         14-12-2007   
Redemption date                    02-02-2011
Maturity                           1 146 days
Currency                           EUR
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT0000430308

Type of securities                 Non-equities
Units                              16 973
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 1 697 300 (EUR 491 572)
Participation rate                 66%
Indices                            Dow Jones EURO STOXX 50, TOPIX, S&P 500
Start date                         14-12-2007   
Redemption date                    02-02-2011
Maturity                           1 146 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT0000430316

Type of securities                 Non-equities
Units                              13 414
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 1 341 400 (EUR 388 496)
Participation rate                 210%
Indices                            Dow Jones EURO STOXX 50, TOPIX, S&P 500
Start date                         14-12-2007   
Redemption date                    02-02-2011
Maturity                           1 146 days
Currency                           LTL
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
GlobeNewswire