2008-03-07 07:38:56 CET

2008-03-07 07:39:55 CET


REGULATED INFORMATION

English Lithuanian
SEB Bankas AB - Total number of voting rights and capital

Regarding registration of non-equities


March 7 2008 Central Securities Depository of Lithuania opened general 
securities accounts for four SEB Bank issues:

ISIN code - LT0000430456

Type of securities                 Non-equities
Units                              8 675
Bond nominal value                 LTL 100 (EUR 28.96)
Total nominal value                LTL 867 500 (EUR 251 245)
Participation rate                 68%
Index                              S&P Southeast Asia 40
Bond start date                    04-03-2008   
Redemption date                    22-02-2011  
Maturity                           1 085 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond issue prospectus              Published

ISIN code - LT0000430464

Type of securities                 Non-equities
Units                              20 763
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 2 076 300 (EUR 601 338)
Participation rate                 133%
Index                              S&P Southeast Asia 40
Start date                         04-03-2008   
Redemption date                    22-02-2011
Maturity                           1 085 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT0000430472

Type of securities                 Non-equities
Units                              10 624
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 1 062 400 (EUR 307 692)
Participation rate                 52%
Index                              ABN AMRO Middle East Price Return
Start date                         04-03-2008  
Redemption date                    23-03-2011
Maturity                           1 114 days
Currency                           LTL
Credit risk                        Issuer's risk, without extra insurance
Listing                            This issue will not be listed
Bond Issue prospectus              Published

ISIN code - LT0000430480

Type of securities                 Non-equities
Units                              22 254
Nominal value                      LTL 100 (EUR 28.96)
Total nominal value                LTL 2 225 400 (EUR 644 520)
Participation rate                 81%
Index                              ABN AMRO Middle East Price Return
Start date                         04-03-2008   
Redemption date                    23-03-2011
Maturity                           1 114 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