MUTUAL FUND LIST RELEASE 141/2007 31.10.2007 OMX Nordic Exchange Group Oy NEW MUTUAL FUNDS TO THE MUTUAL FUND LIST The following mutual fund managed by Tapiola Varainhoito Oy will be added on the OMX Helsinki mutual fund list on November 1st 2007. Basic data of the mutual fund: Name of the mutual fund: Tapiola 2045 Code: TAP2045 Fund type: Asset Allocation/GROWTH ISIN code: FI0008812599 Minimum investment: 500 EUR (or 30 EUR/mth) Service fees: Subscription: 1 % Redemption: 0.5 % Management (p.a.): 0.35 % (and the management fees of the underlying funds) Custodian (p.a.): Included in the management fee Registration country: Finland Shares/price: 1 Share price currency: EUR The following mutual funds managed by Handelsbanken Rahastoyhtiö Oy will be added on the OMX Helsinki mutual fund list on November 1st 2007. Basic data of the mutual funds: Name of the mutual fund: Handelsbankens IT-fond Code: HANITFOND Fund type: Equity/YIELD ISIN code: SE0000624439 Minimum investment: 800 EUR (or 50 EUR/mth) Service fees: Subscription: 1 % Redemption: 1 % Management (p.a.): 0.65 % Custodian (p.a.): Included in the management fee Registration country: Sweden Shares/price: 1 Share price currency: EUR Name of the mutual fund: Handelsbankens Läkemedelsfond Code: HANLAKEMED Fund type: Equity/YIELD ISIN code: SE0000735375 Minimum investment: 800 EUR (or 50 EUR/mth) Service fees: Subscription: 1 % Redemption: 1 % Management (p.a.): 1.60 % Custodian (p.a.): Included in the management fee Registration country: Sweden Shares/price: 1 Share price currency: EUR Name of the mutual fund: Handelsbankens Japanfond Code: HANJAPAN Fund type: Equity/YIELD ISIN code: SE0000356099 Minimum investment: 800 EUR (or 50 EUR/mth) Service fees: Subscription: 1 % Redemption: 1 % Management (p.a.): 1.60 % Custodian (p.a.): Included in the management fee Registration country: Sweden Shares/price: 1 Share price currency: EUR OMX NORDIC EXCHANGE HELSINKI Fund Services Petteri Haveri Service & Operations officer