7. Principal currency translation rate

Period end rates
used for the consolidated
balance sheets
Average rates
used for the consolidated income
and cash flow statements
30.06.2008 31.12.2007 30.06.2008 30.06.2007
1 USD 1.020 1.130 1.050 1.228
1 EUR 1.605 1.655 1.606 1.632