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Cegedim Capital/Financing Update 2015

Jul 3, 2015

1189_rns_2015-07-03_5e845769-8f80-4791-a85a-c70c764fdf2f.pdf

Capital/Financing Update

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Boulogne Billancourt, July 3rd, 2015

HALF-YEARLY SUMMARY OF THE LIQUIDITY CONTRACT OF CEGEDIM

In respect of the liquidity contract granted by Cegedim to Kepler Capital Markets SA; on June 30th, 2015; the following resources were recorded in the liquidity account:

Number of shares: 4,900 Cash: €307,664.28

Note that at the time of the last half-yearly summary on December 31th, 2014; the following resources were recorded in the liquidity account:

Number of shares: 1,600 Cash: €399,905.42