Paris La Défense, 20 May 2015

Amendment to the liquidity contract

An amendment to the liquidity contract has been signed on 22nd August 2011 between Rothschild & Cie Banque and Société Générale. Under article 12, and to enable Rothschild & Cie Banque to ensure continuity of its operations under this agreement, Société Générale decided to make a partial recovery means of EUR 143M, bringing the current means to EUR 50M.

AMENDMENT TO THE LIQUIDITY CONTRACT SOCIETE GENERALE:
http://hugin.info/143574/R/1923136/689636.pdf



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Source: Société Générale via Globenewswire

HUG#1923136