Capped Bonus Certificates on Indices Issuer Société Générale Effekten GmbH, Frankfurt am Main Issuer's Guarantor Société Générale (Moody's A2, Standard & Poor's A) Lead Manager Société Générale (Moody's A2, Standard & Poor's A) Type Stand Alone Certificate under German Law Currency EUR Initial Determination Date 18-Mar-16 Launch Date 21-Mar-16 First Listing Date 23-Mar-16 Closing Date 24-Mar-16 Investor Payment Date 24-Mar-16 Redemption at Maturity 2 cases at Maturity: 1st case: If the Index has never traded (also intraday) at or below the Barrier during the Observation Period, the holder will receive the following amount in EUR: Parity x min[max[Bonus Level; Reference PriceFinal]; Cap] / FXFinal 2nd case: Otherwise, at Matutiry, the holder will receive the following amount in EUR: Parity x min[Reference PriceFinal; Cap] / FXFinal With Reference PriceFinal Closing Price of the Index as published by the relevant Index Sponsor on Final Determination Date. If the Final Determination Date is equal to the expiry date of a Futures Contract on the Index, the Equity Derivatives Settlement Price (EDSP) as published by the relevant derivatives exchange will be applied. Observation period From First Listing Date to Final Determination Date (both days included) If the Final Determination Date is equal to the expiry date of a Futures Contract on the Underlying, the Observation Period will end on Final Determination Date at the time the Equity Derivatives Settlement Price (EDSP) is determined and published by the relevant derivatives exchange. FXFinal Fixing Price of the relevant FX Rate as published by the ECB one day after Final Determination Date. Secondary Market Under normal market conditions Société Générale will provide a secondary market during market open hours. Screen prices will be available on Reuters page SGDEM and in the internet on http://www.sg-zertifikate.de. Business Days TARGET Minimum Tradeable Size 1 Certificate Clearing / Settlement Clearstream Banking AG Listing Frankfurt (Zertifikate Premium) and Stuttgart (EUWAX) Public Offering Germany & Austria Warning In case of a decrease of the underlying, this product includes an element of equity risk and should not be considered as a capital guaranteed product. Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 1 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Euro STOXX 50 EU0009658145 .STOXX50E / / Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 97.9736 % / 65.3157 % / 97.9736 % / 3 000.00 2 000.00 3 000.00 101.2394 % / 65.3157 % / 101.2394 % / 3 100.00 2 000.00 3 100.00 104.5052 % / 65.3157 % / 104.5052 % / 3 200.00 2 000.00 3 200.00 107.7709 % / 65.3157 % / 107.7709 % / 3 300.00 2 000.00 3 300.00 130.6314 % / 65.3157 % / 130.6314 % / 4 000.00 2 000.00 4 000.00 97.9736 % / 68.5815 % / 97.9736 % / 3 000.00 2 100.00 3 000.00 101.2394 % / 68.5815 % / 101.2394 % / 3 100.00 2 100.00 3 100.00 104.5052 % / 68.5815 % / 104.5052 % / 3 200.00 2 100.00 3 200.00 107.7709 % / 68.5815 % / 107.7709 % / 3 300.00 2 100.00 3 300.00 91.4420 % / 76.7460 % / 91.4420 % / 2 800.00 2 350.00 2 800.00 94.7078 % / 76.7460 % / 94.7078 % / 2 900.00 2 350.00 2 900.00 97.9736 % / 76.7460 % / 97.9736 % / 3 000.00 2 350.00 3 000.00 101.2394 % / 76.7460 % / 101.2394 % / 3 100.00 2 350.00 3 100.00 104.5052 % / 76.7460 % / 104.5052 % / 3 200.00 2 350.00 3 200.00 107.7709 % / 76.7460 % / 107.7709 % / 3 300.00 2 350.00 3 300.00 120.8341 % / 78.3789 % / 120.8341 % / 3 700.00 2 400.00 3 700.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 29.49 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38N54 SE38N5 0.0100 1 695 000 49 985 550 30.42 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38N62 SE38N6 0.0100 1 643 000 49 980 060 31.36 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38N70 SE38N7 0.0100 1 594 000 49 987 840 32.30 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38N88 SE38N8 0.0100 1 548 000 50 000 400 38.87 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38N96 SE38N9 0.0100 1 286 000 49 986 820 29.35 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38PA7 SE38PA 0.0100 1 704 000 50 012 400 30.27 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38PB5 SE38PB 0.0100 1 652 000 50 006 040 31.19 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38PC3 SE38PC 0.0100 1 603 000 49 997 570 32.11 17-Aug-16 19-Aug-16 26-Aug-16 DE000SE38PD1 SE38PD 0.0100 1 557 000 49 995 270 27.11 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PE9 SE38PE 0.0100 1 844 000 49 990 840 27.94 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PF6 SE38PF 0.0100 1 790 000 50 012 600 28.75 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PG4 SE38PG 0.0100 1 739 000 49 996 250 29.57 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PH2 SE38PH 0.0100 1 691 000 50 002 870 30.38 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PJ8 SE38PJ 0.0100 1 646 000 50 005 480 31.19 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PK6 SE38PK 0.0100 1 603 000 49 997 570 34.16 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PL4 SE38PL 0.0100 1 464 000 50 010 240 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 2 ISIN / Underlying RIC / Relevant Fixing Place Spot and Currency FX Initial Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap Issue Price / Denomination in Last Listing Date EUR Final Determination Date Maturity Date ISIN Code WKN Parity Up-To Number of certificates Up-To Nominal in EUR Stoxx Limited, Zürich Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 3 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 91.4420 % / 80.0118 % / 91.4420 % / 2 800.00 2 450.00 2 800.00 94.7078 % / 80.0118 % / 94.7078 % / 2 900.00 2 450.00 2 900.00 97.9736 % / 80.0118 % / 97.9736 % / 3 000.00 2 450.00 3 000.00 101.2394 % / 80.0118 % / 101.2394 % / 3 100.00 2 450.00 3 100.00 107.7709 % / 80.0118 % / 107.7709 % / 3 300.00 2 450.00 3 300.00 91.4420 % / 81.6446 % / 91.4420 % / 2 800.00 2 500.00 2 800.00 106.1380 % / 81.6446 % / 106.1380 % / 3 250.00 2 500.00 3 250.00 94.7078 % / 83.2775 % / 94.7078 % / 2 900.00 2 550.00 2 900.00 97.9736 % / 83.2775 % / 97.9736 % / 3 000.00 2 550.00 3 000.00 101.2394 % / 83.2775 % / 101.2394 % / 3 100.00 2 550.00 3 100.00 104.5052 % / 83.2775 % / 104.5052 % / 3 200.00 2 550.00 3 200.00 97.9736 % / 65.3157 % / 97.9736 % / 3 000.00 2 000.00 3 000.00 101.2394 % / 65.3157 % / 101.2394 % / 3 100.00 2 000.00 3 100.00 104.5052 % / 65.3157 % / 104.5052 % / 3 200.00 2 000.00 3 200.00 107.7709 % / 65.3157 % / 107.7709 % / 3 300.00 2 000.00 3 300.00 130.6314 % / 65.3157 % / 130.6314 % / 4 000.00 2 000.00 4 000.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 27.02 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PM2 SE38PM 0.0100 1 850 000 49 987 000 27.81 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PN0 SE38PN 0.0100 1 798 000 50 002 380 28.58 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PP5 SE38PP 0.0100 1 749 000 49 986 420 29.35 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PQ3 SE38PQ 0.0100 1 704 000 50 012 400 30.87 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PR1 SE38PR 0.0100 1 620 000 50 009 400 26.99 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PS9 SE38PS 0.0100 1 853 000 50 012 470 30.34 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PT7 SE38PT 0.0100 1 648 000 50 000 320 27.70 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PU5 SE38PU 0.0100 1 805 000 49 998 500 28.43 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PV3 SE38PV 0.0100 1 759 000 50 008 370 29.14 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PW1 SE38PW 0.0100 1 716 000 50 004 240 29.84 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE38PX9 SE38PX 0.0100 1 676 000 50 011 840 29.11 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38PY7 SE38PY 0.0100 1 718 000 50 010 980 30.02 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38PZ4 SE38PZ 0.0100 1 666 000 50 013 320 30.92 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P03 SE38P0 0.0100 1 617 000 49 997 640 31.82 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P11 SE38P1 0.0100 1 571 000 49 989 220 38.13 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P29 SE38P2 0.0100 1 311 000 49 988 430 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 4 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 97.9736 % / 68.5815 % / 97.9736 % / 3 000.00 2 100.00 3 000.00 101.2394 % / 68.5815 % / 101.2394 % / 3 100.00 2 100.00 3 100.00 104.5052 % / 68.5815 % / 104.5052 % / 3 200.00 2 100.00 3 200.00 107.7709 % / 68.5815 % / 107.7709 % / 3 300.00 2 100.00 3 300.00 130.6314 % / 68.5815 % / 130.6314 % / 4 000.00 2 100.00 4 000.00 97.9736 % / 65.3157 % / 97.9736 % / 3 000.00 2 000.00 3 000.00 101.2394 % / 65.3157 % / 101.2394 % / 3 100.00 2 000.00 3 100.00 104.5052 % / 65.3157 % / 104.5052 % / 3 200.00 2 000.00 3 200.00 107.7709 % / 65.3157 % / 107.7709 % / 3 300.00 2 000.00 3 300.00 97.9736 % / 68.5815 % / 97.9736 % / 3 000.00 2 100.00 3 000.00 101.2394 % / 68.5815 % / 101.2394 % / 3 100.00 2 100.00 3 100.00 104.5052 % / 68.5815 % / 104.5052 % / 3 200.00 2 100.00 3 200.00 107.7709 % / 68.5815 % / 107.7709 % / 3 300.00 2 100.00 3 300.00 96.3407 % / 57.1513 % / 96.3407 % / 2 950.00 1 750.00 2 950.00 99.6065 % / 57.1513 % / 99.6065 % / 3 050.00 1 750.00 3 050.00 104.5052 % / 57.1513 % / 104.5052 % / 3 200.00 1 750.00 3 200.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 28.95 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P37 SE38P3 0.0100 1 727 000 49 996 650 29.83 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P45 SE38P4 0.0100 1 676 000 49 995 080 30.70 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P52 SE38P5 0.0100 1 629 000 50 010 300 31.58 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P60 SE38P6 0.0100 1 583 000 49 991 140 37.69 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE38P78 SE38P7 0.0100 1 327 000 50 014 630 28.97 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38P86 SE38P8 0.0100 1 726 000 50 002 220 29.86 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38P94 SE38P9 0.0100 1 674 000 49 985 640 30.74 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38QA5 SE38QA 0.0100 1 627 000 50 013 980 31.63 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38QB3 SE38QB 0.0100 1 581 000 50 007 030 28.79 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38QC1 SE38QC 0.0100 1 737 000 50 008 230 29.66 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38QD9 SE38QD 0.0100 1 686 000 50 006 760 30.52 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38QE7 SE38QE 0.0100 1 638 000 49 991 760 31.38 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE38QF4 SE38QF 0.0100 1 593 000 49 988 340 28.76 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QG2 SE38QG 0.0100 1 739 000 50 013 640 29.69 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QH0 SE38QH 0.0100 1 684 000 49 997 960 31.08 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QJ6 SE38QJ 0.0100 1 609 000 50 007 720 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 5 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 107.7709 % / 57.1513 % / 107.7709 % / 3 300.00 1 750.00 3 300.00 111.0367 % / 57.1513 % / 111.0367 % / 3 400.00 1 750.00 3 400.00 114.3025 % / 57.1513 % / 114.3025 % / 3 500.00 1 750.00 3 500.00 117.5683 % / 57.1513 % / 117.5683 % / 3 600.00 1 750.00 3 600.00 120.8341 % / 57.1513 % / 120.8341 % / 3 700.00 1 750.00 3 700.00 127.3657 % / 57.1513 % / 127.3657 % / 3 900.00 1 750.00 3 900.00 133.8972 % / 57.1513 % / 133.8972 % / 4 100.00 1 750.00 4 100.00 140.4288 % / 57.1513 % / 140.4288 % / 4 300.00 1 750.00 4 300.00 94.7078 % / 58.7841 % / 94.7078 % / 2 900.00 1 800.00 2 900.00 97.9736 % / 58.7841 % / 97.9736 % / 3 000.00 1 800.00 3 000.00 101.2394 % / 58.7841 % / 101.2394 % / 3 100.00 1 800.00 3 100.00 107.7709 % / 58.7841 % / 107.7709 % / 3 300.00 1 800.00 3 300.00 120.8341 % / 58.7841 % / 120.8341 % / 3 700.00 1 800.00 3 700.00 127.3657 % / 58.7841 % / 127.3657 % / 3 900.00 1 800.00 3 900.00 133.8972 % / 58.7841 % / 133.8972 % / 4 100.00 1 800.00 4 100.00 96.3407 % / 60.4170 % / 96.3407 % / 2 950.00 1 850.00 2 950.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 32.01 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QK4 SE38QK 0.0100 1 562 000 49 999 620 32.94 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QL2 SE38QL 0.0100 1 518 000 50 002 920 33.87 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QM0 SE38QM 0.0100 1 476 000 49 992 120 34.80 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QN8 SE38QN 0.0100 1 437 000 50 007 600 35.72 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QP3 SE38QP 0.0100 1 400 000 50 008 000 37.58 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QQ1 SE38QQ 0.0100 1 330 000 49 981 400 39.44 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QR9 SE38QR 0.0100 1 268 000 50 009 920 41.29 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QS7 SE38QS 0.0100 1 211 000 50 002 190 28.23 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QT5 SE38QT 0.0100 1 771 000 49 995 330 29.15 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QU3 SE38QU 0.0100 1 715 000 49 992 250 30.07 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QV1 SE38QV 0.0100 1 663 000 50 006 410 31.91 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QW9 SE38QW 0.0100 1 567 000 50 002 970 35.59 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QX7 SE38QX 0.0100 1 405 000 50 003 950 37.43 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QY5 SE38QY 0.0100 1 336 000 50 006 480 39.27 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38QZ2 SE38QZ 0.0100 1 273 000 49 990 710 28.62 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q02 SE38Q0 0.0100 1 747 000 49 999 140 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 6 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 99.6065 % / 60.4170 % / 99.6065 % / 3 050.00 1 850.00 3 050.00 104.5052 % / 60.4170 % / 104.5052 % / 3 200.00 1 850.00 3 200.00 111.0367 % / 60.4170 % / 111.0367 % / 3 400.00 1 850.00 3 400.00 117.5683 % / 60.4170 % / 117.5683 % / 3 600.00 1 850.00 3 600.00 124.0999 % / 60.4170 % / 124.0999 % / 3 800.00 1 850.00 3 800.00 130.6314 % / 60.4170 % / 130.6314 % / 4 000.00 1 850.00 4 000.00 137.1630 % / 60.4170 % / 137.1630 % / 4 200.00 1 850.00 4 200.00 99.6065 % / 62.0499 % / 99.6065 % / 3 050.00 1 900.00 3 050.00 107.7709 % / 62.0499 % / 107.7709 % / 3 300.00 1 900.00 3 300.00 114.3025 % / 62.0499 % / 114.3025 % / 3 500.00 1 900.00 3 500.00 120.8341 % / 62.0499 % / 120.8341 % / 3 700.00 1 900.00 3 700.00 127.3657 % / 62.0499 % / 127.3657 % / 3 900.00 1 900.00 3 900.00 133.8972 % / 62.0499 % / 133.8972 % / 4 100.00 1 900.00 4 100.00 94.7078 % / 63.6828 % / 94.7078 % / 2 900.00 1 950.00 2 900.00 97.9736 % / 63.6828 % / 97.9736 % / 3 000.00 1 950.00 3 000.00 130.6314 % / 63.6828 % / 130.6314 % / 4 000.00 1 950.00 4 000.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 29.53 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q10 SE38Q1 0.0100 1 693 000 49 994 290 30.90 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q28 SE38Q2 0.0100 1 618 000 49 996 200 32.72 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q36 SE38Q3 0.0100 1 528 000 49 996 160 34.54 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q44 SE38Q4 0.0100 1 448 000 50 013 920 36.36 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q51 SE38Q5 0.0100 1 375 000 49 995 000 38.18 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q69 SE38Q6 0.0100 1 310 000 50 015 800 40.00 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q77 SE38Q7 0.0100 1 250 000 50 000 000 29.45 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q85 SE38Q8 0.0100 1 698 000 50 006 100 31.70 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38Q93 SE38Q9 0.0100 1 577 000 49 990 900 33.50 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RA3 SE38RA 0.0100 1 493 000 50 015 500 35.30 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RB1 SE38RB 0.0100 1 416 000 49 984 800 37.10 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RC9 SE38RC 0.0100 1 348 000 50 010 800 38.90 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RD7 SE38RD 0.0100 1 285 000 49 986 500 28.03 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RE5 SE38RE 0.0100 1 784 000 50 005 520 28.92 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RF2 SE38RF 0.0100 1 729 000 50 002 680 37.80 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RG0 SE38RG 0.0100 1 323 000 50 009 400 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 7 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 137.1630 % / 63.6828 % / 137.1630 % / 4 200.00 1 950.00 4 200.00 140.4288 % / 63.6828 % / 140.4288 % / 4 300.00 1 950.00 4 300.00 99.6065 % / 65.3157 % / 99.6065 % / 3 050.00 2 000.00 3 050.00 94.7078 % / 66.9486 % / 94.7078 % / 2 900.00 2 050.00 2 900.00 97.9736 % / 66.9486 % / 97.9736 % / 3 000.00 2 050.00 3 000.00 101.2394 % / 66.9486 % / 101.2394 % / 3 100.00 2 050.00 3 100.00 107.7709 % / 66.9486 % / 107.7709 % / 3 300.00 2 050.00 3 300.00 114.3025 % / 66.9486 % / 114.3025 % / 3 500.00 2 050.00 3 500.00 120.8341 % / 66.9486 % / 120.8341 % / 3 700.00 2 050.00 3 700.00 127.3657 % / 66.9486 % / 127.3657 % / 3 900.00 2 050.00 3 900.00 133.8972 % / 66.9486 % / 133.8972 % / 4 100.00 2 050.00 4 100.00 140.4288 % / 66.9486 % / 140.4288 % / 4 300.00 2 050.00 4 300.00 93.0749 % / 68.5815 % / 93.0749 % / 2 850.00 2 100.00 2 850.00 99.6065 % / 68.5815 % / 99.6065 % / 3 050.00 2 100.00 3 050.00 117.5683 % / 68.5815 % / 117.5683 % / 3 600.00 2 100.00 3 600.00 130.6314 % / 68.5815 % / 130.6314 % / 4 000.00 2 100.00 4 000.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 39.58 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RH8 SE38RH 0.0100 1 263 000 49 989 540 40.46 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RJ4 SE38RJ 0.0100 1 236 000 50 008 560 29.27 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RK2 SE38RK 0.0100 1 708 000 49 993 160 27.88 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RL0 SE38RL 0.0100 1 793 000 49 988 840 28.75 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RM8 SE38RM 0.0100 1 739 000 49 996 250 29.61 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RN6 SE38RN 0.0100 1 689 000 50 011 290 31.33 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RP1 SE38RP 0.0100 1 596 000 50 002 680 33.05 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RQ9 SE38RQ 0.0100 1 513 000 50 004 650 34.77 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RR7 SE38RR 0.0100 1 438 000 49 999 260 36.49 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RS5 SE38RS 0.0100 1 370 000 49 991 300 38.21 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RT3 SE38RT 0.0100 1 309 000 50 016 890 39.93 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RU1 SE38RU 0.0100 1 252 000 49 992 360 27.38 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RV9 SE38RV 0.0100 1 826 000 49 995 880 29.08 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RW7 SE38RW 0.0100 1 719 000 49 988 520 33.73 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RX5 SE38RX 0.0100 1 482 000 49 987 860 37.10 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RY3 SE38RY 0.0100 1 348 000 50 010 800 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 8 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 137.1630 % / 68.5815 % / 137.1630 % / 4 200.00 2 100.00 4 200.00 94.7078 % / 70.2144 % / 94.7078 % / 2 900.00 2 150.00 2 900.00 97.9736 % / 70.2144 % / 97.9736 % / 3 000.00 2 150.00 3 000.00 101.2394 % / 70.2144 % / 101.2394 % / 3 100.00 2 150.00 3 100.00 107.7709 % / 70.2144 % / 107.7709 % / 3 300.00 2 150.00 3 300.00 114.3025 % / 70.2144 % / 114.3025 % / 3 500.00 2 150.00 3 500.00 120.8341 % / 70.2144 % / 120.8341 % / 3 700.00 2 150.00 3 700.00 127.3657 % / 70.2144 % / 127.3657 % / 3 900.00 2 150.00 3 900.00 133.8972 % / 70.2144 % / 133.8972 % / 4 100.00 2 150.00 4 100.00 140.4288 % / 70.2144 % / 140.4288 % / 4 300.00 2 150.00 4 300.00 93.0749 % / 71.8473 % / 93.0749 % / 2 850.00 2 200.00 2 850.00 99.6065 % / 71.8473 % / 99.6065 % / 3 050.00 2 200.00 3 050.00 130.6314 % / 71.8473 % / 130.6314 % / 4 000.00 2 200.00 4 000.00 137.1630 % / 71.8473 % / 137.1630 % / 4 200.00 2 200.00 4 200.00 93.0749 % / 73.4802 % / 93.0749 % / 2 850.00 2 250.00 2 850.00 96.3407 % / 73.4802 % / 96.3407 % / 2 950.00 2 250.00 2 950.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 38.78 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38RZ0 SE38RZ 0.0100 1 289 000 49 987 420 27.73 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R01 SE38R0 0.0100 1 803 000 49 997 190 28.56 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R19 SE38R1 0.0100 1 751 000 50 008 560 29.40 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R27 SE38R2 0.0100 1 701 000 50 009 400 31.05 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R35 SE38R3 0.0100 1 610 000 49 990 500 32.70 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R43 SE38R4 0.0100 1 529 000 49 998 300 34.35 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R50 SE38R5 0.0100 1 456 000 50 013 600 36.00 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R68 SE38R6 0.0100 1 389 000 50 004 000 37.65 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R76 SE38R7 0.0100 1 328 000 49 999 200 39.30 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R84 SE38R8 0.0100 1 272 000 49 989 600 27.25 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38R92 SE38R9 0.0100 1 835 000 50 003 750 28.88 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SA1 SE38SA 0.0100 1 731 000 49 991 280 36.54 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SB9 SE38SB 0.0100 1 368 000 49 986 720 38.15 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SC7 SE38SC 0.0100 1 311 000 50 014 650 27.18 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SD5 SE38SD 0.0100 1 840 000 50 011 200 27.98 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SE3 SE38SE 0.0100 1 787 000 50 000 260 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 9 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 99.6065 % / 73.4802 % / 99.6065 % / 3 050.00 2 250.00 3 050.00 120.8341 % / 75.1131 % / 120.8341 % / 3 700.00 2 300.00 3 700.00 133.8972 % / 75.1131 % / 133.8972 % / 4 100.00 2 300.00 4 100.00 140.4288 % / 75.1131 % / 140.4288 % / 4 300.00 2 300.00 4 300.00 91.4420 % / 76.7460 % / 91.4420 % / 2 800.00 2 350.00 2 800.00 94.7078 % / 76.7460 % / 94.7078 % / 2 900.00 2 350.00 2 900.00 97.9736 % / 76.7460 % / 97.9736 % / 3 000.00 2 350.00 3 000.00 101.2394 % / 76.7460 % / 101.2394 % / 3 100.00 2 350.00 3 100.00 107.7709 % / 76.7460 % / 107.7709 % / 3 300.00 2 350.00 3 300.00 114.3025 % / 76.7460 % / 114.3025 % / 3 500.00 2 350.00 3 500.00 127.3657 % / 76.7460 % / 127.3657 % / 3 900.00 2 350.00 3 900.00 133.8972 % / 76.7460 % / 133.8972 % / 4 100.00 2 350.00 4 100.00 93.0749 % / 78.3789 % / 93.0749 % / 2 850.00 2 400.00 2 850.00 99.6065 % / 78.3789 % / 99.6065 % / 3 050.00 2 400.00 3 050.00 130.6314 % / 78.3789 % / 130.6314 % / 4 000.00 2 400.00 4 000.00 137.1630 % / 78.3789 % / 137.1630 % / 4 200.00 2 400.00 4 200.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 28.78 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SF0 SE38SF 0.0100 1 737 000 49 990 860 33.63 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SG8 SE38SG 0.0100 1 487 000 50 007 810 36.66 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SH6 SE38SH 0.0100 1 364 000 50 004 240 38.17 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SJ2 SE38SJ 0.0100 1 310 000 50 002 700 26.68 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SK0 SE38SK 0.0100 1 874 000 49 998 320 27.45 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SL8 SE38SL 0.0100 1 821 000 49 986 450 28.20 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SM6 SE38SM 0.0100 1 773 000 49 998 600 28.95 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SN4 SE38SN 0.0100 1 727 000 49 996 650 30.43 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SP9 SE38SP 0.0100 1 643 000 49 996 490 31.90 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SQ7 SE38SQ 0.0100 1 567 000 49 987 300 34.82 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SR5 SE38SR 0.0100 1 436 000 50 001 520 36.28 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SS3 SE38SS 0.0100 1 378 000 49 993 840 27.01 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38ST1 SE38ST 0.0100 1 851 000 49 995 510 28.48 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SU9 SE38SU 0.0100 1 756 000 50 010 880 35.18 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SV7 SE38SV 0.0100 1 421 000 49 990 780 36.58 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SW5 SE38SW 0.0100 1 367 000 50 004 860 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 10 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 91.4420 % / 80.0118 % / 91.4420 % / 2 800.00 2 450.00 2 800.00 94.7078 % / 80.0118 % / 94.7078 % / 2 900.00 2 450.00 2 900.00 97.9736 % / 80.0118 % / 97.9736 % / 3 000.00 2 450.00 3 000.00 101.2394 % / 80.0118 % / 101.2394 % / 3 100.00 2 450.00 3 100.00 107.7709 % / 80.0118 % / 107.7709 % / 3 300.00 2 450.00 3 300.00 114.3025 % / 80.0118 % / 114.3025 % / 3 500.00 2 450.00 3 500.00 127.3657 % / 80.0118 % / 127.3657 % / 3 900.00 2 450.00 3 900.00 133.8972 % / 80.0118 % / 133.8972 % / 4 100.00 2 450.00 4 100.00 93.0749 % / 57.1513 % / 93.0749 % / 2 850.00 1 750.00 2 850.00 96.3407 % / 57.1513 % / 96.3407 % / 2 950.00 1 750.00 2 950.00 99.6065 % / 57.1513 % / 99.6065 % / 3 050.00 1 750.00 3 050.00 104.5052 % / 57.1513 % / 104.5052 % / 3 200.00 1 750.00 3 200.00 111.0367 % / 57.1513 % / 111.0367 % / 3 400.00 1 750.00 3 400.00 117.5683 % / 57.1513 % / 117.5683 % / 3 600.00 1 750.00 3 600.00 124.0999 % / 57.1513 % / 124.0999 % / 3 800.00 1 750.00 3 800.00 130.6314 % / 57.1513 % / 130.6314 % / 4 000.00 1 750.00 4 000.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 26.60 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SX3 SE38SX 0.0100 1 880 000 50 008 000 27.33 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SY1 SE38SY 0.0100 1 829 000 49 986 570 28.04 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38SZ8 SE38SZ 0.0100 1 783 000 49 995 320 28.74 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38S00 SE38S0 0.0100 1 740 000 50 007 600 30.11 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38S18 SE38S1 0.0100 1 661 000 50 012 710 31.46 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38S26 SE38S2 0.0100 1 589 000 49 989 940 34.13 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38S34 SE38S3 0.0100 1 465 000 50 000 450 35.46 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE38S42 SE38S4 0.0100 1 410 000 49 998 600 27.54 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38S59 SE38S5 0.0100 1 816 000 50 012 640 28.45 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38S67 SE38S6 0.0100 1 757 000 49 986 650 29.35 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38S75 SE38S7 0.0100 1 704 000 50 012 400 30.70 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38S83 SE38S8 0.0100 1 629 000 50 010 300 32.51 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38S91 SE38S9 0.0100 1 538 000 50 000 380 34.32 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TA9 SE38TA 0.0100 1 457 000 50 004 240 36.12 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TB7 SE38TB 0.0100 1 384 000 49 990 080 37.92 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TC5 SE38TC 0.0100 1 319 000 50 016 480 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 11 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 137.1630 % / 57.1513 % / 137.1630 % / 4 200.00 1 750.00 4 200.00 91.4420 % / 58.7841 % / 91.4420 % / 2 800.00 1 800.00 2 800.00 97.9736 % / 58.7841 % / 97.9736 % / 3 000.00 1 800.00 3 000.00 101.2394 % / 58.7841 % / 101.2394 % / 3 100.00 1 800.00 3 100.00 107.7709 % / 58.7841 % / 107.7709 % / 3 300.00 1 800.00 3 300.00 114.3025 % / 58.7841 % / 114.3025 % / 3 500.00 1 800.00 3 500.00 93.0749 % / 60.4170 % / 93.0749 % / 2 850.00 1 850.00 2 850.00 96.3407 % / 60.4170 % / 96.3407 % / 2 950.00 1 850.00 2 950.00 99.6065 % / 60.4170 % / 99.6065 % / 3 050.00 1 850.00 3 050.00 104.5052 % / 60.4170 % / 104.5052 % / 3 200.00 1 850.00 3 200.00 111.0367 % / 60.4170 % / 111.0367 % / 3 400.00 1 850.00 3 400.00 117.5683 % / 60.4170 % / 117.5683 % / 3 600.00 1 850.00 3 600.00 124.0999 % / 60.4170 % / 124.0999 % / 3 800.00 1 850.00 3 800.00 130.6314 % / 60.4170 % / 130.6314 % / 4 000.00 1 850.00 4 000.00 137.1630 % / 60.4170 % / 137.1630 % / 4 200.00 1 850.00 4 200.00 91.4420 % / 62.0499 % / 91.4420 % / 2 800.00 1 900.00 2 800.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 39.73 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TD3 SE38TD 0.0100 1 258 000 49 980 340 27.02 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TE1 SE38TE 0.0100 1 850 000 49 987 000 28.81 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TF8 SE38TF 0.0100 1 736 000 50 014 160 29.71 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TG6 SE38TG 0.0100 1 683 000 50 001 930 31.49 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TH4 SE38TH 0.0100 1 588 000 50 006 120 33.28 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TJ0 SE38TJ 0.0100 1 502 000 49 986 560 27.40 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TK8 SE38TK 0.0100 1 825 000 50 005 000 28.28 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TL6 SE38TL 0.0100 1 768 000 49 999 040 29.17 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TM4 SE38TM 0.0100 1 714 000 49 997 380 30.49 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TN2 SE38TN 0.0100 1 640 000 50 003 600 32.25 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TP7 SE38TP 0.0100 1 550 000 49 987 500 34.01 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TQ5 SE38TQ 0.0100 1 470 000 49 994 700 35.77 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TR3 SE38TR 0.0100 1 398 000 50 006 460 37.53 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TS1 SE38TS 0.0100 1 332 000 49 989 960 39.29 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TT9 SE38TT 0.0100 1 273 000 50 016 170 26.89 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TU7 SE38TU 0.0100 1 859 000 49 988 510 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 12 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 107.7709 % / 62.0499 % / 107.7709 % / 3 300.00 1 900.00 3 300.00 114.3025 % / 62.0499 % / 114.3025 % / 3 500.00 1 900.00 3 500.00 91.4420 % / 63.6828 % / 91.4420 % / 2 800.00 1 950.00 2 800.00 94.7078 % / 63.6828 % / 94.7078 % / 2 900.00 1 950.00 2 900.00 97.9736 % / 63.6828 % / 97.9736 % / 3 000.00 1 950.00 3 000.00 101.2394 % / 63.6828 % / 101.2394 % / 3 100.00 1 950.00 3 100.00 104.5052 % / 63.6828 % / 104.5052 % / 3 200.00 1 950.00 3 200.00 111.0367 % / 63.6828 % / 111.0367 % / 3 400.00 1 950.00 3 400.00 117.5683 % / 63.6828 % / 117.5683 % / 3 600.00 1 950.00 3 600.00 124.0999 % / 63.6828 % / 124.0999 % / 3 800.00 1 950.00 3 800.00 130.6314 % / 63.6828 % / 130.6314 % / 4 000.00 1 950.00 4 000.00 137.1630 % / 63.6828 % / 137.1630 % / 4 200.00 1 950.00 4 200.00 93.0749 % / 65.3157 % / 93.0749 % / 2 850.00 2 000.00 2 850.00 99.6065 % / 65.3157 % / 99.6065 % / 3 050.00 2 000.00 3 050.00 107.7709 % / 65.3157 % / 107.7709 % / 3 300.00 2 000.00 3 300.00 91.4420 % / 66.9486 % / 91.4420 % / 2 800.00 2 050.00 2 800.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 31.24 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TV5 SE38TV 0.0100 1 601 000 50 015 240 32.97 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TW3 SE38TW 0.0100 1 517 000 50 015 490 26.82 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TX1 SE38TX 0.0100 1 864 000 49 992 480 27.68 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TY9 SE38TY 0.0100 1 806 000 49 990 080 28.54 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38TZ6 SE38TZ 0.0100 1 752 000 50 002 080 29.40 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T09 SE38T0 0.0100 1 701 000 50 009 400 30.25 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T17 SE38T1 0.0100 1 653 000 50 003 250 31.96 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T25 SE38T2 0.0100 1 564 000 49 985 440 33.66 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T33 SE38T3 0.0100 1 485 000 49 985 100 35.37 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T41 SE38T4 0.0100 1 414 000 50 013 180 37.07 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T58 SE38T5 0.0100 1 349 000 50 007 430 38.78 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T66 SE38T6 0.0100 1 289 000 49 987 420 27.18 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T74 SE38T7 0.0100 1 840 000 50 011 200 28.87 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T82 SE38T8 0.0100 1 732 000 50 002 840 30.97 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38T90 SE38T9 0.0100 1 614 000 49 985 580 26.69 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UA7 SE38UA 0.0100 1 873 000 49 990 370 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 13 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 94.7078 % / 66.9486 % / 94.7078 % / 2 900.00 2 050.00 2 900.00 97.9736 % / 66.9486 % / 97.9736 % / 3 000.00 2 050.00 3 000.00 101.2394 % / 66.9486 % / 101.2394 % / 3 100.00 2 050.00 3 100.00 107.7709 % / 66.9486 % / 107.7709 % / 3 300.00 2 050.00 3 300.00 114.3025 % / 66.9486 % / 114.3025 % / 3 500.00 2 050.00 3 500.00 120.8341 % / 66.9486 % / 120.8341 % / 3 700.00 2 050.00 3 700.00 127.3657 % / 66.9486 % / 127.3657 % / 3 900.00 2 050.00 3 900.00 133.8972 % / 66.9486 % / 133.8972 % / 4 100.00 2 050.00 4 100.00 140.4288 % / 66.9486 % / 140.4288 % / 4 300.00 2 050.00 4 300.00 93.0749 % / 68.5815 % / 93.0749 % / 2 850.00 2 100.00 2 850.00 99.6065 % / 68.5815 % / 99.6065 % / 3 050.00 2 100.00 3 050.00 91.4420 % / 70.2144 % / 91.4420 % / 2 800.00 2 150.00 2 800.00 94.7078 % / 70.2144 % / 94.7078 % / 2 900.00 2 150.00 2 900.00 97.9736 % / 70.2144 % / 97.9736 % / 3 000.00 2 150.00 3 000.00 101.2394 % / 70.2144 % / 101.2394 % / 3 100.00 2 150.00 3 100.00 107.7709 % / 70.2144 % / 107.7709 % / 3 300.00 2 150.00 3 300.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 27.52 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UB5 SE38UB 0.0100 1 817 000 50 003 840 28.35 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UC3 SE38UC 0.0100 1 764 000 50 009 400 29.18 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UD1 SE38UD 0.0100 1 714 000 50 014 520 30.82 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UE9 SE38UE 0.0100 1 622 000 49 990 040 32.46 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UF6 SE38UF 0.0100 1 540 000 49 988 400 34.10 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UG4 SE38UG 0.0100 1 466 000 49 990 600 35.74 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UH2 SE38UH 0.0100 1 399 000 50 000 260 37.38 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UJ8 SE38UJ 0.0100 1 338 000 50 014 440 39.02 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UK6 SE38UK 0.0100 1 281 000 49 984 620 27.03 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UL4 SE38UL 0.0100 1 850 000 50 005 500 28.66 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UM2 SE38UM 0.0100 1 745 000 50 011 700 26.56 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UN0 SE38UN 0.0100 1 883 000 50 012 480 27.36 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UP5 SE38UP 0.0100 1 827 000 49 986 720 28.16 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UQ3 SE38UQ 0.0100 1 776 000 50 012 160 28.95 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UR1 SE38UR 0.0100 1 727 000 49 996 650 30.52 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38US9 SE38US 0.0100 1 638 000 49 991 760 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 14 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 114.3025 % / 70.2144 % / 114.3025 % / 3 500.00 2 150.00 3 500.00 120.8341 % / 70.2144 % / 120.8341 % / 3 700.00 2 150.00 3 700.00 127.3657 % / 70.2144 % / 127.3657 % / 3 900.00 2 150.00 3 900.00 133.8972 % / 70.2144 % / 133.8972 % / 4 100.00 2 150.00 4 100.00 140.4288 % / 70.2144 % / 140.4288 % / 4 300.00 2 150.00 4 300.00 93.0749 % / 71.8473 % / 93.0749 % / 2 850.00 2 200.00 2 850.00 99.6065 % / 71.8473 % / 99.6065 % / 3 050.00 2 200.00 3 050.00 91.4420 % / 73.4802 % / 91.4420 % / 2 800.00 2 250.00 2 800.00 94.7078 % / 73.4802 % / 94.7078 % / 2 900.00 2 250.00 2 900.00 97.9736 % / 73.4802 % / 97.9736 % / 3 000.00 2 250.00 3 000.00 101.2394 % / 73.4802 % / 101.2394 % / 3 100.00 2 250.00 3 100.00 107.7709 % / 73.4802 % / 107.7709 % / 3 300.00 2 250.00 3 300.00 114.3025 % / 73.4802 % / 114.3025 % / 3 500.00 2 250.00 3 500.00 120.8341 % / 73.4802 % / 120.8341 % / 3 700.00 2 250.00 3 700.00 127.3657 % / 73.4802 % / 127.3657 % / 3 900.00 2 250.00 3 900.00 133.8972 % / 73.4802 % / 133.8972 % / 4 100.00 2 250.00 4 100.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 32.09 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UT7 SE38UT 0.0100 1 558 000 49 996 220 33.65 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UU5 SE38UU 0.0100 1 486 000 50 003 900 35.21 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UV3 SE38UV 0.0100 1 420 000 49 998 200 36.77 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UW1 SE38UW 0.0100 1 360 000 50 007 200 38.33 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UX9 SE38UX 0.0100 1 304 000 49 982 320 26.90 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UY7 SE38UY 0.0100 1 859 000 50 007 100 28.45 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38UZ4 SE38UZ 0.0100 1 757 000 49 986 650 26.45 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U06 SE38U0 0.0100 1 890 000 49 990 500 27.22 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U14 SE38U1 0.0100 1 837 000 50 003 140 27.97 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U22 SE38U2 0.0100 1 788 000 50 010 360 28.73 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U30 SE38U3 0.0100 1 740 000 49 990 200 30.21 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U48 SE38U4 0.0100 1 655 000 49 997 550 31.69 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U55 SE38U5 0.0100 1 578 000 50 006 820 33.16 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U63 SE38U6 0.0100 1 508 000 50 005 280 34.62 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U71 SE38U7 0.0100 1 444 000 49 991 280 36.09 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U89 SE38U8 0.0100 1 385 000 49 984 650 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 15 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 140.4288 % / 73.4802 % / 140.4288 % / 4 300.00 2 250.00 4 300.00 93.0749 % / 75.1131 % / 93.0749 % / 2 850.00 2 300.00 2 850.00 99.6065 % / 75.1131 % / 99.6065 % / 3 050.00 2 300.00 3 050.00 91.4420 % / 76.7460 % / 91.4420 % / 2 800.00 2 350.00 2 800.00 94.7078 % / 76.7460 % / 94.7078 % / 2 900.00 2 350.00 2 900.00 97.9736 % / 76.7460 % / 97.9736 % / 3 000.00 2 350.00 3 000.00 101.2394 % / 76.7460 % / 101.2394 % / 3 100.00 2 350.00 3 100.00 107.7709 % / 76.7460 % / 107.7709 % / 3 300.00 2 350.00 3 300.00 114.3025 % / 76.7460 % / 114.3025 % / 3 500.00 2 350.00 3 500.00 120.8341 % / 76.7460 % / 120.8341 % / 3 700.00 2 350.00 3 700.00 127.3657 % / 76.7460 % / 127.3657 % / 3 900.00 2 350.00 3 900.00 133.8972 % / 76.7460 % / 133.8972 % / 4 100.00 2 350.00 4 100.00 140.4288 % / 76.7460 % / 140.4288 % / 4 300.00 2 350.00 4 300.00 93.0749 % / 78.3789 % / 93.0749 % / 2 850.00 2 400.00 2 850.00 99.6065 % / 78.3789 % / 99.6065 % / 3 050.00 2 400.00 3 050.00 91.4420 % / 80.0118 % / 91.4420 % / 2 800.00 2 450.00 2 800.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 37.55 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38U97 SE38U9 0.0100 1 332 000 50 016 600 26.77 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VA5 SE38VA 0.0100 1 868 000 50 006 360 28.25 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VB3 SE38VB 0.0100 1 770 000 50 002 500 26.35 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VC1 SE38VC 0.0100 1 898 000 50 012 300 27.09 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VD9 SE38VD 0.0100 1 846 000 50 008 140 27.80 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VE7 SE38VE 0.0100 1 799 000 50 012 200 28.51 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VF4 SE38VF 0.0100 1 754 000 50 006 540 29.90 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VG2 SE38VG 0.0100 1 672 000 49 992 800 31.27 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VH0 SE38VH 0.0100 1 599 000 50 000 730 32.63 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VJ6 SE38VJ 0.0100 1 532 000 49 989 160 33.99 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VK4 SE38VK 0.0100 1 471 000 49 999 290 35.34 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VL2 SE38VL 0.0100 1 415 000 50 006 100 36.69 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VM0 SE38VM 0.0100 1 363 000 50 008 470 26.67 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VN8 SE38VN 0.0100 1 875 000 50 006 250 28.07 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VP3 SE38VP 0.0100 1 781 000 49 992 670 26.28 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VQ1 SE38VQ 0.0100 1 903 000 50 010 840 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 16 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 94.7078 % / 80.0118 % / 94.7078 % / 2 900.00 2 450.00 2 900.00 97.9736 % / 80.0118 % / 97.9736 % / 3 000.00 2 450.00 3 000.00 101.2394 % / 80.0118 % / 101.2394 % / 3 100.00 2 450.00 3 100.00 107.7709 % / 80.0118 % / 107.7709 % / 3 300.00 2 450.00 3 300.00 114.3025 % / 80.0118 % / 114.3025 % / 3 500.00 2 450.00 3 500.00 120.8341 % / 80.0118 % / 120.8341 % / 3 700.00 2 450.00 3 700.00 127.3657 % / 80.0118 % / 127.3657 % / 3 900.00 2 450.00 3 900.00 133.8972 % / 80.0118 % / 133.8972 % / 4 100.00 2 450.00 4 100.00 140.4288 % / 80.0118 % / 140.4288 % / 4 300.00 2 450.00 4 300.00 91.4420 % / 57.1513 % / 91.4420 % / 2 800.00 1 750.00 2 800.00 94.7078 % / 57.1513 % / 94.7078 % / 2 900.00 1 750.00 2 900.00 97.9736 % / 57.1513 % / 97.9736 % / 3 000.00 1 750.00 3 000.00 101.2394 % / 57.1513 % / 101.2394 % / 3 100.00 1 750.00 3 100.00 107.7709 % / 57.1513 % / 107.7709 % / 3 300.00 1 750.00 3 300.00 114.3025 % / 57.1513 % / 114.3025 % / 3 500.00 1 750.00 3 500.00 120.8341 % / 57.1513 % / 120.8341 % / 3 700.00 1 750.00 3 700.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 26.98 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VR9 SE38VR 0.0100 1 853 000 49 993 940 27.66 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VS7 SE38VS 0.0100 1 808 000 50 009 280 28.32 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VT5 SE38VT 0.0100 1 766 000 50 013 120 29.60 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VU3 SE38VU 0.0100 1 689 000 49 994 400 30.85 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VV1 SE38VV 0.0100 1 621 000 50 007 850 32.09 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VW9 SE38VW 0.0100 1 558 000 49 996 220 33.31 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VX7 SE38VX 0.0100 1 501 000 49 998 310 34.54 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VY5 SE38VY 0.0100 1 448 000 50 013 920 35.76 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE38VZ2 SE38VZ 0.0100 1 398 000 49 992 480 26.71 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V05 SE38V0 0.0100 1 872 000 50 001 120 27.59 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V13 SE38V1 0.0100 1 812 000 49 993 080 28.47 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V21 SE38V2 0.0100 1 756 000 49 993 320 29.34 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V39 SE38V3 0.0100 1 704 000 49 995 360 31.09 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V47 SE38V4 0.0100 1 608 000 49 992 720 32.84 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V54 SE38V5 0.0100 1 523 000 50 015 320 34.59 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V62 SE38V6 0.0100 1 446 000 50 017 140 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 17 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 127.3657 % / 57.1513 % / 127.3657 % / 3 900.00 1 750.00 3 900.00 133.8972 % / 57.1513 % / 133.8972 % / 4 100.00 1 750.00 4 100.00 146.9604 % / 57.1513 % / 146.9604 % / 4 500.00 1 750.00 4 500.00 93.0749 % / 58.7841 % / 93.0749 % / 2 850.00 1 800.00 2 850.00 96.3407 % / 58.7841 % / 96.3407 % / 2 950.00 1 800.00 2 950.00 99.6065 % / 58.7841 % / 99.6065 % / 3 050.00 1 800.00 3 050.00 104.5052 % / 58.7841 % / 104.5052 % / 3 200.00 1 800.00 3 200.00 111.0367 % / 58.7841 % / 111.0367 % / 3 400.00 1 800.00 3 400.00 117.5683 % / 58.7841 % / 117.5683 % / 3 600.00 1 800.00 3 600.00 124.0999 % / 58.7841 % / 124.0999 % / 3 800.00 1 800.00 3 800.00 91.4420 % / 60.4170 % / 91.4420 % / 2 800.00 1 850.00 2 800.00 94.7078 % / 60.4170 % / 94.7078 % / 2 900.00 1 850.00 2 900.00 97.9736 % / 60.4170 % / 97.9736 % / 3 000.00 1 850.00 3 000.00 101.2394 % / 60.4170 % / 101.2394 % / 3 100.00 1 850.00 3 100.00 107.7709 % / 60.4170 % / 107.7709 % / 3 300.00 1 850.00 3 300.00 114.3025 % / 60.4170 % / 114.3025 % / 3 500.00 1 850.00 3 500.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 36.34 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V70 SE38V7 0.0100 1 376 000 50 003 840 38.09 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V88 SE38V8 0.0100 1 313 000 50 012 170 41.58 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38V96 SE38V9 0.0100 1 203 000 50 020 740 27.07 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WA3 SE38WA 0.0100 1 847 000 49 998 290 27.93 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WB1 SE38WB 0.0100 1 790 000 49 994 700 28.79 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WC9 SE38WC 0.0100 1 737 000 50 008 230 30.09 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WD7 SE38WD 0.0100 1 662 000 50 009 580 31.81 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WE5 SE38WE 0.0100 1 572 000 50 005 320 33.54 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WF2 SE38WF 0.0100 1 491 000 50 008 140 35.26 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WG0 SE38WG 0.0100 1 418 000 49 998 680 26.55 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WH8 SE38WH 0.0100 1 883 000 49 993 650 27.40 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WJ4 SE38WJ 0.0100 1 825 000 50 005 000 28.26 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WK2 SE38WK 0.0100 1 769 000 49 991 940 29.11 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WL0 SE38WL 0.0100 1 718 000 50 010 980 30.81 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WM8 SE38WM 0.0100 1 623 000 50 004 630 32.50 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WN6 SE38WN 0.0100 1 538 000 49 985 000 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 18 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 120.8341 % / 60.4170 % / 120.8341 % / 3 700.00 1 850.00 3 700.00 127.3657 % / 60.4170 % / 127.3657 % / 3 900.00 1 850.00 3 900.00 133.8972 % / 60.4170 % / 133.8972 % / 4 100.00 1 850.00 4 100.00 140.4288 % / 60.4170 % / 140.4288 % / 4 300.00 1 850.00 4 300.00 93.0749 % / 62.0499 % / 93.0749 % / 2 850.00 1 900.00 2 850.00 99.6065 % / 62.0499 % / 99.6065 % / 3 050.00 1 900.00 3 050.00 117.5683 % / 62.0499 % / 117.5683 % / 3 600.00 1 900.00 3 600.00 124.0999 % / 62.0499 % / 124.0999 % / 3 800.00 1 900.00 3 800.00 91.4420 % / 63.6828 % / 91.4420 % / 2 800.00 1 950.00 2 800.00 94.7078 % / 63.6828 % / 94.7078 % / 2 900.00 1 950.00 2 900.00 97.9736 % / 63.6828 % / 97.9736 % / 3 000.00 1 950.00 3 000.00 101.2394 % / 63.6828 % / 101.2394 % / 3 100.00 1 950.00 3 100.00 107.7709 % / 63.6828 % / 107.7709 % / 3 300.00 1 950.00 3 300.00 114.3025 % / 63.6828 % / 114.3025 % / 3 500.00 1 950.00 3 500.00 120.8341 % / 63.6828 % / 120.8341 % / 3 700.00 1 950.00 3 700.00 127.3657 % / 63.6828 % / 127.3657 % / 3 900.00 1 950.00 3 900.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 34.20 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WP1 SE38WP 0.0100 1 462 000 50 000 400 35.89 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WQ9 SE38WQ 0.0100 1 393 000 49 994 770 37.59 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WR7 SE38WR 0.0100 1 330 000 49 994 700 39.28 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WS5 SE38WS 0.0100 1 273 000 50 003 440 26.89 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WT3 SE38WT 0.0100 1 859 000 49 988 510 28.57 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WU1 SE38WU 0.0100 1 750 000 49 997 500 33.15 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WV9 SE38WV 0.0100 1 508 000 49 990 200 34.82 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WW7 SE38WW 0.0100 1 436 000 50 001 520 26.39 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WX5 SE38WX 0.0100 1 895 000 50 009 050 27.22 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WY3 SE38WY 0.0100 1 837 000 50 003 140 28.04 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38WZ0 SE38WZ 0.0100 1 783 000 49 995 320 28.86 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W04 SE38W0 0.0100 1 733 000 50 014 380 30.50 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W12 SE38W1 0.0100 1 639 000 49 989 500 32.13 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W20 SE38W2 0.0100 1 556 000 49 994 280 33.77 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W38 SE38W3 0.0100 1 481 000 50 013 370 35.40 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W46 SE38W4 0.0100 1 412 000 49 984 800 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 19 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 133.8972 % / 63.6828 % / 133.8972 % / 4 100.00 1 950.00 4 100.00 140.4288 % / 63.6828 % / 140.4288 % / 4 300.00 1 950.00 4 300.00 93.0749 % / 65.3157 % / 93.0749 % / 2 850.00 2 000.00 2 850.00 99.6065 % / 65.3157 % / 99.6065 % / 3 050.00 2 000.00 3 050.00 91.4420 % / 66.9486 % / 91.4420 % / 2 800.00 2 050.00 2 800.00 94.7078 % / 66.9486 % / 94.7078 % / 2 900.00 2 050.00 2 900.00 97.9736 % / 66.9486 % / 97.9736 % / 3 000.00 2 050.00 3 000.00 101.2394 % / 66.9486 % / 101.2394 % / 3 100.00 2 050.00 3 100.00 107.7709 % / 66.9486 % / 107.7709 % / 3 300.00 2 050.00 3 300.00 114.3025 % / 66.9486 % / 114.3025 % / 3 500.00 2 050.00 3 500.00 120.8341 % / 66.9486 % / 120.8341 % / 3 700.00 2 050.00 3 700.00 127.3657 % / 66.9486 % / 127.3657 % / 3 900.00 2 050.00 3 900.00 133.8972 % / 66.9486 % / 133.8972 % / 4 100.00 2 050.00 4 100.00 140.4288 % / 66.9486 % / 140.4288 % / 4 300.00 2 050.00 4 300.00 93.0749 % / 68.5815 % / 93.0749 % / 2 850.00 2 100.00 2 850.00 99.6065 % / 68.5815 % / 99.6065 % / 3 050.00 2 100.00 3 050.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 37.03 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W53 SE38W5 0.0100 1 350 000 49 990 500 38.66 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W61 SE38W6 0.0100 1 293 000 49 987 380 26.72 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W79 SE38W7 0.0100 1 871 000 49 993 120 28.33 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W87 SE38W8 0.0100 1 765 000 50 002 450 26.24 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38W95 SE38W9 0.0100 1 905 000 49 987 200 27.03 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XA1 SE38XA 0.0100 1 850 000 50 005 500 27.82 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XB9 SE38XB 0.0100 1 797 000 49 992 540 28.61 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XC7 SE38XC 0.0100 1 748 000 50 010 280 30.18 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XD5 SE38XD 0.0100 1 657 000 50 008 260 31.74 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XE3 SE38XE 0.0100 1 575 000 49 990 500 33.30 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XF0 SE38XF 0.0100 1 502 000 50 016 600 34.86 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XG8 SE38XG 0.0100 1 434 000 49 989 240 36.42 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XH6 SE38XH 0.0100 1 373 000 50 004 660 37.98 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XJ2 SE38XJ 0.0100 1 316 000 49 981 680 26.55 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XK0 SE38XK 0.0100 1 883 000 49 993 650 28.10 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XL8 SE38XL 0.0100 1 779 000 49 989 900 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 20 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 91.4420 % / 70.2144 % / 91.4420 % / 2 800.00 2 150.00 2 800.00 94.7078 % / 70.2144 % / 94.7078 % / 2 900.00 2 150.00 2 900.00 97.9736 % / 70.2144 % / 97.9736 % / 3 000.00 2 150.00 3 000.00 101.2394 % / 70.2144 % / 101.2394 % / 3 100.00 2 150.00 3 100.00 107.7709 % / 70.2144 % / 107.7709 % / 3 300.00 2 150.00 3 300.00 114.3025 % / 70.2144 % / 114.3025 % / 3 500.00 2 150.00 3 500.00 120.8341 % / 70.2144 % / 120.8341 % / 3 700.00 2 150.00 3 700.00 127.3657 % / 70.2144 % / 127.3657 % / 3 900.00 2 150.00 3 900.00 133.8972 % / 70.2144 % / 133.8972 % / 4 100.00 2 150.00 4 100.00 140.4288 % / 70.2144 % / 140.4288 % / 4 300.00 2 150.00 4 300.00 93.0749 % / 71.8473 % / 93.0749 % / 2 850.00 2 200.00 2 850.00 99.6065 % / 71.8473 % / 99.6065 % / 3 050.00 2 200.00 3 050.00 91.4420 % / 73.4802 % / 91.4420 % / 2 800.00 2 250.00 2 800.00 94.7078 % / 73.4802 % / 94.7078 % / 2 900.00 2 250.00 2 900.00 97.9736 % / 73.4802 % / 97.9736 % / 3 000.00 2 250.00 3 000.00 101.2394 % / 73.4802 % / 101.2394 % / 3 100.00 2 250.00 3 100.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 26.09 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XM6 SE38XM 0.0100 1 916 000 49 988 440 26.85 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XN4 SE38XN 0.0100 1 862 000 49 994 700 27.61 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XP9 SE38XP 0.0100 1 811 000 50 001 710 28.36 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XQ7 SE38XQ 0.0100 1 763 000 49 998 680 29.85 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XR5 SE38XR 0.0100 1 675 000 49 998 750 31.33 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XS3 SE38XS 0.0100 1 596 000 50 002 680 32.80 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XT1 SE38XT 0.0100 1 524 000 49 987 200 34.28 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XU9 SE38XU 0.0100 1 459 000 50 014 520 35.75 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XV7 SE38XV 0.0100 1 399 000 50 014 250 37.22 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XW5 SE38XW 0.0100 1 343 000 49 986 460 26.40 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XX3 SE38XX 0.0100 1 894 000 50 001 600 27.87 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XY1 SE38XY 0.0100 1 794 000 49 998 780 25.97 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38XZ8 SE38XZ 0.0100 1 925 000 49 992 250 26.69 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X03 SE38X0 0.0100 1 873 000 49 990 370 27.41 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X11 SE38X1 0.0100 1 824 000 49 995 840 28.11 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X29 SE38X2 0.0100 1 779 000 50 007 690 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 21 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 107.7709 % / 73.4802 % / 107.7709 % / 3 300.00 2 250.00 3 300.00 114.3025 % / 73.4802 % / 114.3025 % / 3 500.00 2 250.00 3 500.00 120.8341 % / 73.4802 % / 120.8341 % / 3 700.00 2 250.00 3 700.00 127.3657 % / 73.4802 % / 127.3657 % / 3 900.00 2 250.00 3 900.00 133.8972 % / 73.4802 % / 133.8972 % / 4 100.00 2 250.00 4 100.00 140.4288 % / 73.4802 % / 140.4288 % / 4 300.00 2 250.00 4 300.00 93.0749 % / 75.1131 % / 93.0749 % / 2 850.00 2 300.00 2 850.00 99.6065 % / 75.1131 % / 99.6065 % / 3 050.00 2 300.00 3 050.00 91.4420 % / 76.7460 % / 91.4420 % / 2 800.00 2 350.00 2 800.00 94.7078 % / 76.7460 % / 94.7078 % / 2 900.00 2 350.00 2 900.00 97.9736 % / 76.7460 % / 97.9736 % / 3 000.00 2 350.00 3 000.00 101.2394 % / 76.7460 % / 101.2394 % / 3 100.00 2 350.00 3 100.00 107.7709 % / 76.7460 % / 107.7709 % / 3 300.00 2 350.00 3 300.00 114.3025 % / 76.7460 % / 114.3025 % / 3 500.00 2 350.00 3 500.00 120.8341 % / 76.7460 % / 120.8341 % / 3 700.00 2 350.00 3 700.00 127.3657 % / 76.7460 % / 127.3657 % / 3 900.00 2 350.00 3 900.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 29.51 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X37 SE38X3 0.0100 1 694 000 49 989 940 30.90 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X45 SE38X4 0.0100 1 618 000 49 996 200 32.28 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X52 SE38X5 0.0100 1 549 000 50 001 720 33.65 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X60 SE38X6 0.0100 1 486 000 50 003 900 35.02 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X78 SE38X7 0.0100 1 428 000 50 008 560 36.39 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X86 SE38X8 0.0100 1 374 000 49 999 860 26.26 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38X94 SE38X9 0.0100 1 904 000 49 999 040 27.65 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YA9 SE38YA 0.0100 1 808 000 49 991 200 25.86 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YB7 SE38YB 0.0100 1 933 000 49 987 380 26.55 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YC5 SE38YC 0.0100 1 883 000 49 993 650 27.22 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YD3 SE38YD 0.0100 1 837 000 50 003 140 27.88 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YE1 SE38YE 0.0100 1 793 000 49 988 840 29.18 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YF8 SE38YF 0.0100 1 714 000 50 014 520 30.46 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YG6 SE38YG 0.0100 1 641 000 49 984 860 31.73 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YH4 SE38YH 0.0100 1 576 000 50 006 480 32.99 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YJ0 SE38YJ 0.0100 1 516 000 50 012 840 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 22 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 133.8972 % / 76.7460 % / 133.8972 % / 4 100.00 2 350.00 4 100.00 140.4288 % / 76.7460 % / 140.4288 % / 4 300.00 2 350.00 4 300.00 93.0749 % / 78.3789 % / 93.0749 % / 2 850.00 2 400.00 2 850.00 99.6065 % / 78.3789 % / 99.6065 % / 3 050.00 2 400.00 3 050.00 91.4420 % / 80.0118 % / 91.4420 % / 2 800.00 2 450.00 2 800.00 94.7078 % / 80.0118 % / 94.7078 % / 2 900.00 2 450.00 2 900.00 97.9736 % / 80.0118 % / 97.9736 % / 3 000.00 2 450.00 3 000.00 101.2394 % / 80.0118 % / 101.2394 % / 3 100.00 2 450.00 3 100.00 107.7709 % / 80.0118 % / 107.7709 % / 3 300.00 2 450.00 3 300.00 114.3025 % / 80.0118 % / 114.3025 % / 3 500.00 2 450.00 3 500.00 120.8341 % / 80.0118 % / 120.8341 % / 3 700.00 2 450.00 3 700.00 127.3657 % / 80.0118 % / 127.3657 % / 3 900.00 2 450.00 3 900.00 140.4288 % / 80.0118 % / 140.4288 % / 4 300.00 2 450.00 4 300.00 93.0749 % / 57.1513 % / 93.0749 % / 2 850.00 1 750.00 2 850.00 96.3407 % / 57.1513 % / 96.3407 % / 2 950.00 1 750.00 2 950.00 99.6065 % / 57.1513 % / 99.6065 % / 3 050.00 1 750.00 3 050.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 34.24 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YK8 SE38YK 0.0100 1 460 000 49 990 400 35.50 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YL6 SE38YL 0.0100 1 408 000 49 984 000 26.15 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YM4 SE38YM 0.0100 1 912 000 49 998 800 27.46 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YN2 SE38YN 0.0100 1 821 000 50 004 660 25.78 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YP7 SE38YP 0.0100 1 939 000 49 987 420 26.43 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YQ5 SE38YQ 0.0100 1 892 000 50 005 560 27.06 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YR3 SE38YR 0.0100 1 848 000 50 006 880 27.68 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YS1 SE38YS 0.0100 1 806 000 49 990 080 28.87 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YT9 SE38YT 0.0100 1 732 000 50 002 840 30.03 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YU7 SE38YU 0.0100 1 665 000 49 999 950 31.17 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YV5 SE38YV 0.0100 1 604 000 49 996 680 32.30 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YW3 SE38YW 0.0100 1 548 000 50 000 400 34.55 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE38YX1 SE38YX 0.0100 1 447 000 49 993 850 26.59 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38YY9 SE38YY 0.0100 1 880 000 49 989 200 27.42 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38YZ6 SE38YZ 0.0100 1 823 000 49 986 660 28.26 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y02 SE38Y0 0.0100 1 769 000 49 991 940 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 23 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 104.5052 % / 57.1513 % / 104.5052 % / 3 200.00 1 750.00 3 200.00 111.0367 % / 57.1513 % / 111.0367 % / 3 400.00 1 750.00 3 400.00 117.5683 % / 57.1513 % / 117.5683 % / 3 600.00 1 750.00 3 600.00 124.0999 % / 57.1513 % / 124.0999 % / 3 800.00 1 750.00 3 800.00 130.6314 % / 57.1513 % / 130.6314 % / 4 000.00 1 750.00 4 000.00 137.1630 % / 57.1513 % / 137.1630 % / 4 200.00 1 750.00 4 200.00 91.4420 % / 58.7841 % / 91.4420 % / 2 800.00 1 800.00 2 800.00 94.7078 % / 58.7841 % / 94.7078 % / 2 900.00 1 800.00 2 900.00 97.9736 % / 58.7841 % / 97.9736 % / 3 000.00 1 800.00 3 000.00 101.2394 % / 58.7841 % / 101.2394 % / 3 100.00 1 800.00 3 100.00 107.7709 % / 58.7841 % / 107.7709 % / 3 300.00 1 800.00 3 300.00 93.0749 % / 60.4170 % / 93.0749 % / 2 850.00 1 850.00 2 850.00 96.3407 % / 60.4170 % / 96.3407 % / 2 950.00 1 850.00 2 950.00 99.6065 % / 60.4170 % / 99.6065 % / 3 050.00 1 850.00 3 050.00 104.5052 % / 60.4170 % / 104.5052 % / 3 200.00 1 850.00 3 200.00 111.0367 % / 60.4170 % / 111.0367 % / 3 400.00 1 850.00 3 400.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 29.50 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y10 SE38Y1 0.0100 1 695 000 50 002 500 31.16 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y28 SE38Y2 0.0100 1 605 000 50 011 800 32.81 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y36 SE38Y3 0.0100 1 524 000 50 002 440 34.46 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y44 SE38Y4 0.0100 1 451 000 50 001 460 36.12 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y51 SE38Y5 0.0100 1 384 000 49 990 080 37.77 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y69 SE38Y6 0.0100 1 324 000 50 007 480 26.08 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y77 SE38Y7 0.0100 1 917 000 49 995 360 26.90 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y85 SE38Y8 0.0100 1 859 000 50 007 100 27.72 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Y93 SE38Y9 0.0100 1 804 000 50 006 880 28.54 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZA6 SE38ZA 0.0100 1 752 000 50 002 080 30.16 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZB4 SE38ZB 0.0100 1 658 000 50 005 280 26.40 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZC2 SE38ZC 0.0100 1 894 000 50 001 600 27.20 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZD0 SE38ZD 0.0100 1 838 000 49 993 600 28.00 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZE8 SE38ZE 0.0100 1 786 000 50 008 000 29.20 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZF5 SE38ZF 0.0100 1 712 000 49 990 400 30.80 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZG3 SE38ZG 0.0100 1 623 000 49 988 400 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 24 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 117.5683 % / 60.4170 % / 117.5683 % / 3 600.00 1 850.00 3 600.00 124.0999 % / 60.4170 % / 124.0999 % / 3 800.00 1 850.00 3 800.00 130.6314 % / 60.4170 % / 130.6314 % / 4 000.00 1 850.00 4 000.00 137.1630 % / 60.4170 % / 137.1630 % / 4 200.00 1 850.00 4 200.00 91.4420 % / 62.0499 % / 91.4420 % / 2 800.00 1 900.00 2 800.00 94.7078 % / 62.0499 % / 94.7078 % / 2 900.00 1 900.00 2 900.00 97.9736 % / 62.0499 % / 97.9736 % / 3 000.00 1 900.00 3 000.00 101.2394 % / 62.0499 % / 101.2394 % / 3 100.00 1 900.00 3 100.00 107.7709 % / 62.0499 % / 107.7709 % / 3 300.00 1 900.00 3 300.00 114.3025 % / 62.0499 % / 114.3025 % / 3 500.00 1 900.00 3 500.00 93.0749 % / 63.6828 % / 93.0749 % / 2 850.00 1 950.00 2 850.00 96.3407 % / 63.6828 % / 96.3407 % / 2 950.00 1 950.00 2 950.00 99.6065 % / 63.6828 % / 99.6065 % / 3 050.00 1 950.00 3 050.00 104.5052 % / 63.6828 % / 104.5052 % / 3 200.00 1 950.00 3 200.00 111.0367 % / 63.6828 % / 111.0367 % / 3 400.00 1 950.00 3 400.00 117.5683 % / 63.6828 % / 117.5683 % / 3 600.00 1 950.00 3 600.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 32.39 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZH1 SE38ZH 0.0100 1 544 000 50 010 160 33.98 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZJ7 SE38ZJ 0.0100 1 471 000 49 984 580 35.57 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZK5 SE38ZK 0.0100 1 406 000 50 011 420 37.15 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZL3 SE38ZL 0.0100 1 346 000 50 003 900 25.91 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZM1 SE38ZM 0.0100 1 930 000 50 006 300 26.70 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZN9 SE38ZN 0.0100 1 873 000 50 009 100 27.49 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZP4 SE38ZP 0.0100 1 819 000 50 004 310 28.27 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZQ2 SE38ZQ 0.0100 1 769 000 50 009 630 29.83 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZR0 SE38ZR 0.0100 1 676 000 49 995 080 31.39 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZS8 SE38ZS 0.0100 1 593 000 50 004 270 26.21 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZT6 SE38ZT 0.0100 1 908 000 50 008 680 26.98 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZU4 SE38ZU 0.0100 1 853 000 49 993 940 27.75 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZV2 SE38ZV 0.0100 1 802 000 50 005 500 28.90 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZW0 SE38ZW 0.0100 1 730 000 49 997 000 30.43 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZX8 SE38ZX 0.0100 1 643 000 49 996 490 31.94 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZY6 SE38ZY 0.0100 1 565 000 49 986 100 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 25 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 124.0999 % / 63.6828 % / 124.0999 % / 3 800.00 1 950.00 3 800.00 137.1630 % / 63.6828 % / 137.1630 % / 4 200.00 1 950.00 4 200.00 91.4420 % / 65.3157 % / 91.4420 % / 2 800.00 2 000.00 2 800.00 94.7078 % / 65.3157 % / 94.7078 % / 2 900.00 2 000.00 2 900.00 101.2394 % / 65.3157 % / 101.2394 % / 3 100.00 2 000.00 3 100.00 107.7709 % / 65.3157 % / 107.7709 % / 3 300.00 2 000.00 3 300.00 93.0749 % / 66.9486 % / 93.0749 % / 2 850.00 2 050.00 2 850.00 96.3407 % / 66.9486 % / 96.3407 % / 2 950.00 2 050.00 2 950.00 99.6065 % / 66.9486 % / 99.6065 % / 3 050.00 2 050.00 3 050.00 104.5052 % / 66.9486 % / 104.5052 % / 3 200.00 2 050.00 3 200.00 111.0367 % / 66.9486 % / 111.0367 % / 3 400.00 2 050.00 3 400.00 117.5683 % / 66.9486 % / 117.5683 % / 3 600.00 2 050.00 3 600.00 124.0999 % / 66.9486 % / 124.0999 % / 3 800.00 2 050.00 3 800.00 130.6314 % / 66.9486 % / 130.6314 % / 4 000.00 2 050.00 4 000.00 137.1630 % / 66.9486 % / 137.1630 % / 4 200.00 2 050.00 4 200.00 91.4420 % / 68.5815 % / 91.4420 % / 2 800.00 2 100.00 2 800.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 33.46 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38ZZ3 SE38ZZ 0.0100 1 494 000 49 989 240 36.49 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z01 SE38Z0 0.0100 1 370 000 49 991 300 25.74 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z19 SE38Z1 0.0100 1 943 000 50 012 820 26.50 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z27 SE38Z2 0.0100 1 887 000 50 005 500 28.00 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z35 SE38Z3 0.0100 1 786 000 50 008 000 29.50 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z43 SE38Z4 0.0100 1 695 000 50 002 500 26.04 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z50 SE38Z5 0.0100 1 920 000 49 996 800 26.78 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z68 SE38Z6 0.0100 1 867 000 49 998 260 27.51 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z76 SE38Z7 0.0100 1 818 000 50 013 180 28.60 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z84 SE38Z8 0.0100 1 748 000 49 992 800 30.05 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38Z92 SE38Z9 0.0100 1 664 000 50 003 200 31.49 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380A1 SE380A 0.0100 1 588 000 50 006 120 32.92 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380B9 SE380B 0.0100 1 519 000 50 005 480 34.36 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380C7 SE380C 0.0100 1 455 000 49 993 800 35.79 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380D5 SE380D 0.0100 1 397 000 49 998 630 25.60 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380E3 SE380E 0.0100 1 953 000 49 996 800 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 26 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 94.7078 % / 68.5815 % / 94.7078 % / 2 900.00 2 100.00 2 900.00 101.2394 % / 68.5815 % / 101.2394 % / 3 100.00 2 100.00 3 100.00 107.7709 % / 68.5815 % / 107.7709 % / 3 300.00 2 100.00 3 300.00 93.0749 % / 70.2144 % / 93.0749 % / 2 850.00 2 150.00 2 850.00 96.3407 % / 70.2144 % / 96.3407 % / 2 950.00 2 150.00 2 950.00 99.6065 % / 70.2144 % / 99.6065 % / 3 050.00 2 150.00 3 050.00 104.5052 % / 70.2144 % / 104.5052 % / 3 200.00 2 150.00 3 200.00 111.0367 % / 70.2144 % / 111.0367 % / 3 400.00 2 150.00 3 400.00 117.5683 % / 70.2144 % / 117.5683 % / 3 600.00 2 150.00 3 600.00 124.0999 % / 70.2144 % / 124.0999 % / 3 800.00 2 150.00 3 800.00 130.6314 % / 70.2144 % / 130.6314 % / 4 000.00 2 150.00 4 000.00 91.4420 % / 71.8473 % / 91.4420 % / 2 800.00 2 200.00 2 800.00 94.7078 % / 71.8473 % / 94.7078 % / 2 900.00 2 200.00 2 900.00 101.2394 % / 71.8473 % / 101.2394 % / 3 100.00 2 200.00 3 100.00 107.7709 % / 71.8473 % / 107.7709 % / 3 300.00 2 200.00 3 300.00 93.0749 % / 73.4802 % / 93.0749 % / 2 850.00 2 250.00 2 850.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 26.32 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380F0 SE380F 0.0100 1 900 000 50 008 000 27.75 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380G8 SE380G 0.0100 1 802 000 50 005 500 29.16 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380H6 SE380H 0.0100 1 715 000 50 009 400 25.88 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380J2 SE380J 0.0100 1 932 000 50 000 160 26.59 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380K0 SE380K 0.0100 1 880 000 49 989 200 27.28 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380L8 SE380L 0.0100 1 833 000 50 004 240 28.31 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380M6 SE380M 0.0100 1 766 000 49 995 460 29.67 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380N4 SE380N 0.0100 1 685 000 49 993 950 31.02 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380P9 SE380P 0.0100 1 612 000 50 004 240 32.36 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380Q7 SE380Q 0.0100 1 545 000 49 996 200 33.70 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380R5 SE380R 0.0100 1 484 000 50 010 800 25.47 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380S3 SE380S 0.0100 1 963 000 49 997 610 26.16 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380T1 SE380T 0.0100 1 911 000 49 991 760 27.51 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380U9 SE380U 0.0100 1 818 000 50 013 180 28.83 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380V7 SE380V 0.0100 1 734 000 49 991 220 25.75 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380W5 SE380W 0.0100 1 942 000 50 006 500 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 27 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 96.3407 % / 73.4802 % / 96.3407 % / 2 950.00 2 250.00 2 950.00 99.6065 % / 73.4802 % / 99.6065 % / 3 050.00 2 250.00 3 050.00 104.5052 % / 73.4802 % / 104.5052 % / 3 200.00 2 250.00 3 200.00 111.0367 % / 73.4802 % / 111.0367 % / 3 400.00 2 250.00 3 400.00 117.5683 % / 73.4802 % / 117.5683 % / 3 600.00 2 250.00 3 600.00 124.0999 % / 73.4802 % / 124.0999 % / 3 800.00 2 250.00 3 800.00 130.6314 % / 73.4802 % / 130.6314 % / 4 000.00 2 250.00 4 000.00 137.1630 % / 73.4802 % / 137.1630 % / 4 200.00 2 250.00 4 200.00 91.4420 % / 75.1131 % / 91.4420 % / 2 800.00 2 300.00 2 800.00 94.7078 % / 75.1131 % / 94.7078 % / 2 900.00 2 300.00 2 900.00 101.2394 % / 75.1131 % / 101.2394 % / 3 100.00 2 300.00 3 100.00 107.7709 % / 75.1131 % / 107.7709 % / 3 300.00 2 300.00 3 300.00 93.0749 % / 76.7460 % / 93.0749 % / 2 850.00 2 350.00 2 850.00 96.3407 % / 76.7460 % / 96.3407 % / 2 950.00 2 350.00 2 950.00 99.6065 % / 76.7460 % / 99.6065 % / 3 050.00 2 350.00 3 050.00 104.5052 % / 76.7460 % / 104.5052 % / 3 200.00 2 350.00 3 200.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 26.42 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380X3 SE380X 0.0100 1 893 000 50 013 060 27.07 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380Y1 SE380Y 0.0100 1 847 000 49 998 290 28.04 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE380Z8 SE380Z 0.0100 1 783 000 49 995 320 29.30 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38001 SE3800 0.0100 1 706 000 49 985 800 30.55 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38019 SE3801 0.0100 1 637 000 50 010 350 31.79 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38027 SE3802 0.0100 1 573 000 50 005 670 33.02 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38035 SE3803 0.0100 1 514 000 49 992 280 34.25 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38043 SE3804 0.0100 1 460 000 50 005 000 25.36 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38050 SE3805 0.0100 1 972 000 50 009 920 26.02 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38068 SE3806 0.0100 1 922 000 50 010 440 27.29 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38076 SE3807 0.0100 1 832 000 49 995 280 28.52 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38084 SE3808 0.0100 1 753 000 49 995 560 25.64 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE38092 SE3809 0.0100 1 950 000 49 998 000 26.27 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381A9 SE381A 0.0100 1 903 000 49 991 810 26.88 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381B7 SE381B 0.0100 1 860 000 49 996 800 27.78 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381C5 SE381C 0.0100 1 800 000 50 004 000 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 28 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 111.0367 % / 76.7460 % / 111.0367 % / 3 400.00 2 350.00 3 400.00 117.5683 % / 76.7460 % / 117.5683 % / 3 600.00 2 350.00 3 600.00 124.0999 % / 76.7460 % / 124.0999 % / 3 800.00 2 350.00 3 800.00 130.6314 % / 76.7460 % / 130.6314 % / 4 000.00 2 350.00 4 000.00 137.1630 % / 76.7460 % / 137.1630 % / 4 200.00 2 350.00 4 200.00 91.4420 % / 78.3789 % / 91.4420 % / 2 800.00 2 400.00 2 800.00 94.7078 % / 78.3789 % / 94.7078 % / 2 900.00 2 400.00 2 900.00 101.2394 % / 78.3789 % / 101.2394 % / 3 100.00 2 400.00 3 100.00 107.7709 % / 78.3789 % / 107.7709 % / 3 300.00 2 400.00 3 300.00 93.0749 % / 80.0118 % / 93.0749 % / 2 850.00 2 450.00 2 850.00 96.3407 % / 80.0118 % / 96.3407 % / 2 950.00 2 450.00 2 950.00 99.6065 % / 80.0118 % / 99.6065 % / 3 050.00 2 450.00 3 050.00 104.5052 % / 80.0118 % / 104.5052 % / 3 200.00 2 450.00 3 200.00 111.0367 % / 80.0118 % / 111.0367 % / 3 400.00 2 450.00 3 400.00 117.5683 % / 80.0118 % / 117.5683 % / 3 600.00 2 450.00 3 600.00 124.0999 % / 80.0118 % / 124.0999 % / 3 800.00 2 450.00 3 800.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 28.95 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381D3 SE381D 0.0100 1 727 000 49 996 650 30.09 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381E1 SE381E 0.0100 1 662 000 50 009 580 31.21 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381F8 SE381F 0.0100 1 602 000 49 998 420 32.33 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381G6 SE381G 0.0100 1 547 000 50 014 510 33.44 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381H4 SE381H 0.0100 1 495 000 49 992 800 25.29 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381J0 SE381J 0.0100 1 977 000 49 998 330 25.91 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381K8 SE381K 0.0100 1 930 000 50 006 300 27.09 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381L6 SE381L 0.0100 1 846 000 50 008 140 28.23 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381M4 SE381M 0.0100 1 771 000 49 995 330 25.56 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381N2 SE381N 0.0100 1 956 000 49 995 360 26.16 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381P7 SE381P 0.0100 1 911 000 49 991 760 26.73 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381Q5 SE381Q 0.0100 1 871 000 50 011 830 27.56 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381R3 SE381R 0.0100 1 814 000 49 993 840 28.62 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381S1 SE381S 0.0100 1 747 000 49 999 140 29.64 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381T9 SE381T 0.0100 1 687 000 50 002 680 30.65 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381U7 SE381U 0.0100 1 631 000 49 990 150 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 29 ISIN / Underlying RIC / Spot and Currency Relevant Fixing Place EU0009658145 Euro STOXX 50 .STOXX50E FX Initial / / 3 062.050 EUR 1.0000 3 062.050 EUR 1.0000 Stoxx Limited, Zürich EU0009658145 Euro STOXX 50 .STOXX50E / / Stoxx Limited, Zürich Bonus Level in % / Barrier in % / Cap in % / Bonus Level Barrier Cap 130.6314 % / 80.0118 % / 130.6314 % / 4 000.00 2 450.00 4 000.00 137.1630 % / 80.0118 % / 137.1630 % / 4 200.00 2 450.00 4 200.00 Issue Price / Final Denomination in Last Listing Date EUR Determination Maturity Date ISIN Code WKN Parity Date Up-To Number of certificates Up-To Nominal in EUR 31.64 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381V5 SE381V 0.0100 1 580 000 49 991 200 32.62 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE381W3 SE381W 0.0100 1 533 000 50 006 460 Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein. This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way. The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht. The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663. Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de. Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request. The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person. Page: 30
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