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Société Générale Capital/Financing Update 2013

Aug 19, 2013

1671_rns_2013-08-19_f3160db0-cda9-44b3-9138-6fc9fcb9645f.pdf

Capital/Financing Update

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SOCIETE GENERALE

NOTICE TO THE NOTEHOLDERS

(as of 13 August 2013)

SG Issuer
Issue of up to GBP 3 000 000 Notes due 10/08/2015
Unconditionally and irrevocably guaranteed by Société Générale
under the €125 000 000 000
Debt Instruments Issuance Programme

Series 45400EN/13.8
Tranche 1
(the « Notes »)

ISIN CODE: XS0867726472

Information is hereby given to the holders of the above-mentioned Notes that the definitive Aggregate Nominal Amount is GBP 1 000 000.

For further information, Noteholders shall refer to the Final Terms dated 17 June 2013.

THE AGENT
SOCIETE GENERALE BANK & TRUST
11 Avenue Emile Reuter
L-2420 LUXEMBOURG