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 12-Aug-16 Launch Date 15-Aug-16 First Listing Date 17-Aug-16 Closing Date / Value Date 19-Aug-16 Investor Payment Date 19-Aug-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 max[Bonus Level; Reference PriceFinal] / FXFinal 2nd case: Otherwise, at Matutiry, the holder will receive the following amount in EUR: Parity x [Reference PriceFinal] / 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 Exchange Delivery 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 Exchange Delivery 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 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 132.1811 % / 90.2927 % / 14 200.00 9 700.00 154.5215 % / 90.2927 % / 16 600.00 9 700.00 137.7662 % / 91.2235 % / 14 800.00 9 800.00 150.7981 % / 91.2235 % / 16 200.00 9 800.00 128.4577 % / 92.1544 % / 13 800.00 9 900.00 141.4896 % / 92.1544 % / 15 200.00 9 900.00 154.5215 % / 92.1544 % / 16 600.00 9 900.00 132.1811 % / 93.0853 % / 14 200.00 10 000.00 145.2130 % / 93.0853 % / 15 600.00 10 000.00 156.3832 % / 93.0853 % / 16 800.00 10 000.00 124.7342 % / 94.0161 % / 13 400.00 10 100.00 136.8353 % / 94.0161 % / 14 700.00 10 100.00 150.7981 % / 94.0161 % / 16 200.00 10 100.00 119.1491 % / 94.9470 % / 12 800.00 10 200.00 132.1811 % / 94.9470 % / 14 200.00 10 200.00 146.1439 % / 94.9470 % / 15 700.00 10 200.00 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 138.97 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE32 SE6RE3 0.0100 353 000 49 056 410 161.17 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE40 SE6RE4 0.0100 304 000 48 995 680 143.71 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE57 SE6RE5 0.0100 341 000 49 005 110 156.42 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE65 SE6RE6 0.0100 313 000 48 959 460 133.84 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE73 SE6RE7 0.0100 366 000 48 985 440 146.24 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE81 SE6RE8 0.0100 335 000 48 990 400 158.65 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RE99 SE6RE9 0.0100 309 000 49 022 850 136.30 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFA3 SE6RFA 0.0100 360 000 49 068 000 148.32 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFB1 SE6RFB 0.0100 330 000 48 945 600 158.62 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFC9 SE6RFC 0.0100 309 000 49 013 580 128.37 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFD7 SE6RFD 0.0100 382 000 49 037 340 139.09 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFE5 SE6RFE 0.0100 352 000 48 959 680 151.45 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFF2 SE6RFF 0.0100 324 000 49 069 800 122.40 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFG0 SE6RFG 0.0100 400 000 48 960 000 133.34 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFH8 SE6RFH 0.0100 367 000 48 935 780 145.05 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RFJ4 SE6RFJ 0.0100 338 000 49 026 900 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: 2 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 115.4257 % / 90.2927 % / 12 400.00 9 700.00 137.7662 % / 90.2927 % / 14 800.00 9 700.00 150.7981 % / 90.2927 % / 16 200.00 9 700.00 122.8725 % / 91.2235 % / 13 200.00 9 800.00 142.4204 % / 91.2235 % / 15 300.00 9 800.00 156.3832 % / 91.2235 % / 16 800.00 9 800.00 111.7023 % / 92.1544 % / 12 000.00 9 900.00 125.6651 % / 92.1544 % / 13 500.00 9 900.00 147.0747 % / 92.1544 % / 15 800.00 9 900.00 107.9789 % / 93.0853 % / 11 600.00 10 000.00 121.0108 % / 93.0853 % / 13 000.00 10 000.00 133.1119 % / 93.0853 % / 14 300.00 10 000.00 111.7023 % / 94.0161 % / 12 000.00 10 100.00 123.8034 % / 94.0161 % / 13 300.00 10 100.00 137.7662 % / 94.0161 % / 14 800.00 10 100.00 104.2555 % / 94.9470 % / 11 200.00 10 200.00 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 119.23 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFK2 SE6RFK 0.0100 411 000 49 003 530 138.77 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFL0 SE6RFL 0.0100 353 000 48 985 810 150.19 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFM8 SE6RFM 0.0100 326 000 48 961 940 124.90 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFN6 SE6RFN 0.0100 392 000 48 960 800 141.43 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFP1 SE6RFP 0.0100 346 000 48 934 780 153.23 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFQ9 SE6RFQ 0.0100 320 000 49 033 600 115.02 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFR7 SE6RFR 0.0100 426 000 48 998 520 126.24 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFS5 SE6RFS 0.0100 388 000 48 981 120 143.59 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFT3 SE6RFT 0.0100 341 000 48 964 190 111.82 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFU1 SE6RFU 0.0100 438 000 48 977 160 121.51 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFV9 SE6RFV 0.0100 403 000 48 968 530 130.82 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFW7 SE6RFW 0.0100 375 000 49 057 500 113.82 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFX5 SE6RFX 0.0100 431 000 49 056 420 122.46 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFY3 SE6RFY 0.0100 400 000 48 984 000 132.55 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RFZ0 SE6RFZ 0.0100 370 000 49 043 500 109.14 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RF07 SE6RF0 0.0100 449 000 49 003 860 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: 3 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 117.2874 % / 94.9470 % / 12 600.00 10 200.00 133.1119 % / 94.9470 % / 14 300.00 10 200.00 107.9789 % / 95.8778 % / 11 600.00 10 300.00 128.4577 % / 95.8778 % / 13 800.00 10 300.00 141.4896 % / 95.8778 % / 15 200.00 10 300.00 107.9789 % / 90.2927 % / 11 600.00 9 700.00 121.0108 % / 90.2927 % / 13 000.00 9 700.00 141.4896 % / 90.2927 % / 15 200.00 9 700.00 104.2555 % / 91.2235 % / 11 200.00 9 800.00 117.2874 % / 91.2235 % / 12 600.00 9 800.00 137.7662 % / 91.2235 % / 14 800.00 9 800.00 112.6332 % / 92.1544 % / 12 100.00 9 900.00 124.7342 % / 92.1544 % / 13 400.00 9 900.00 141.4896 % / 92.1544 % / 15 200.00 9 900.00 119.1491 % / 93.0853 % / 12 800.00 10 000.00 135.9045 % / 93.0853 % / 14 600.00 10 000.00 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 116.79 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RF15 SE6RF1 0.0100 420 000 49 051 800 127.34 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RF23 SE6RF2 0.0100 385 000 49 025 900 110.40 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RF31 SE6RF3 0.0100 444 000 49 017 600 122.45 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RF49 SE6RF4 0.0100 400 000 48 980 000 130.33 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RF56 SE6RF5 0.0100 376 000 49 004 080 111.91 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RF64 SE6RF6 0.0100 438 000 49 016 580 121.69 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RF72 SE6RF7 0.0100 403 000 49 041 070 138.06 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RF80 SE6RF8 0.0100 355 000 49 011 300 109.68 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RF98 SE6RF9 0.0100 447 000 49 026 960 118.06 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGA1 SE6RGA 0.0100 415 000 48 994 900 133.71 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGB9 SE6RGB 0.0100 366 000 48 937 860 114.06 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGC7 SE6RGC 0.0100 430 000 49 045 800 122.71 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGD5 SE6RGD 0.0100 399 000 48 961 290 134.91 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGE3 SE6RGE 0.0100 363 000 48 972 330 117.79 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGF0 SE6RGF 0.0100 416 000 49 000 640 129.25 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGG8 SE6RGG 0.0100 379 000 48 985 750 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 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 150.7981 % / 93.0853 % / 16 200.00 10 000.00 114.4949 % / 94.0161 % / 12 300.00 10 100.00 128.4577 % / 94.0161 % / 13 800.00 10 100.00 143.3513 % / 94.0161 % / 15 400.00 10 100.00 108.9097 % / 94.9470 % / 11 700.00 10 200.00 121.9417 % / 94.9470 % / 13 100.00 10 200.00 134.9736 % / 94.9470 % / 14 500.00 10 200.00 104.2555 % / 95.8778 % / 11 200.00 10 300.00 117.2874 % / 95.8778 % / 12 600.00 10 300.00 132.1811 % / 95.8778 % / 14 200.00 10 300.00 109.8406 % / 90.2927 % / 11 800.00 9 700.00 124.7342 % / 90.2927 % / 13 400.00 9 700.00 141.4896 % / 90.2927 % / 15 200.00 9 700.00 114.4949 % / 91.2235 % / 12 300.00 9 800.00 128.4577 % / 91.2235 % / 13 800.00 9 800.00 145.2130 % / 91.2235 % / 15 600.00 9 800.00 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 139.46 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGH6 SE6RGH 0.0100 351 000 48 950 460 113.97 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGJ2 SE6RGJ 0.0100 430 000 49 007 100 122.77 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGK0 SE6RGK 0.0100 399 000 48 985 230 132.26 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGL8 SE6RGL 0.0100 370 000 48 936 200 110.37 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGM6 SE6RGM 0.0100 444 000 49 004 280 117.48 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGN4 SE6RGN 0.0100 417 000 48 989 160 125.07 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGP9 SE6RGP 0.0100 392 000 49 027 440 108.49 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGQ7 SE6RGQ 0.0100 452 000 49 037 480 113.86 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGR5 SE6RGR 0.0100 430 000 48 959 800 121.59 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RGS3 SE6RGS 0.0100 403 000 49 000 770 112.13 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGT1 SE6RGT 0.0100 437 000 49 000 810 122.47 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGU9 SE6RGU 0.0100 400 000 48 988 000 134.83 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGV7 SE6RGV 0.0100 363 000 48 943 290 114.53 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGW5 SE6RGW 0.0100 428 000 49 018 840 124.15 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGX3 SE6RGX 0.0100 395 000 49 039 250 135.93 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGY1 SE6RGY 0.0100 360 000 48 934 800 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: 5 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 103.3246 % / 92.1544 % / 11 100.00 9 900.00 117.2874 % / 92.1544 % / 12 600.00 9 900.00 133.1119 % / 92.1544 % / 14 300.00 9 900.00 107.0480 % / 93.0853 % / 11 500.00 10 000.00 121.0108 % / 93.0853 % / 13 000.00 10 000.00 139.6279 % / 93.0853 % / 15 000.00 10 000.00 104.2555 % / 94.0161 % / 11 200.00 10 100.00 117.2874 % / 94.0161 % / 12 600.00 10 100.00 128.4577 % / 94.0161 % / 13 800.00 10 100.00 107.9789 % / 94.9470 % / 11 600.00 10 200.00 122.8725 % / 94.9470 % / 13 200.00 10 200.00 143.3513 % / 94.9470 % / 15 400.00 10 200.00 107.9789 % / 91.2235 % / 11 600.00 9 800.00 125.6651 % / 91.2235 % / 13 500.00 9 800.00 142.4204 % / 91.2235 % / 15 300.00 9 800.00 111.7023 % / 93.0853 % / 12 000.00 10 000.00 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 108.80 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RGZ8 SE6RGZ 0.0100 450 000 48 960 000 115.69 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG06 SE6RG0 0.0100 424 000 49 052 560 126.10 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG14 SE6RG1 0.0100 389 000 49 052 900 109.71 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG22 SE6RG2 0.0100 447 000 49 040 370 117.20 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG30 SE6RG3 0.0100 418 000 48 989 600 128.72 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG48 SE6RG4 0.0100 381 000 49 042 320 108.63 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG55 SE6RG5 0.0100 451 000 48 992 130 114.18 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG63 SE6RG6 0.0100 429 000 48 983 220 120.49 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG71 SE6RG7 0.0100 407 000 49 039 430 109.38 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG89 SE6RG8 0.0100 448 000 49 002 240 116.21 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RG97 SE6RG9 0.0100 422 000 49 040 620 126.86 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RHA9 SE6RHA 0.0100 386 000 48 967 960 110.20 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHB7 SE6RHB 0.0100 445 000 49 039 000 120.25 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHC5 SE6RHC 0.0100 407 000 48 941 750 131.08 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHD3 SE6RHD 0.0100 374 000 49 023 920 110.98 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHE1 SE6RHE 0.0100 442 000 49 053 160 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 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 122.8725 % / 93.0853 % / 13 200.00 10 000.00 134.9736 % / 93.0853 % / 14 500.00 10 000.00 115.4257 % / 94.9470 % / 12 400.00 10 200.00 128.4577 % / 94.9470 % / 13 800.00 10 200.00 142.4204 % / 94.9470 % / 15 300.00 10 200.00 103.3246 % / 91.2235 % / 11 100.00 9 800.00 121.0108 % / 91.2235 % / 13 000.00 9 800.00 137.7662 % / 91.2235 % / 14 800.00 9 800.00 109.8406 % / 93.0853 % / 11 800.00 10 000.00 123.8034 % / 93.0853 % / 13 300.00 10 000.00 141.4896 % / 93.0853 % / 15 200.00 10 000.00 105.1863 % / 94.9470 % / 11 300.00 10 200.00 118.2183 % / 94.9470 % / 12 700.00 10 200.00 135.9045 % / 94.9470 % / 14 600.00 10 200.00 107.0480 % / 91.2235 % / 11 500.00 9 800.00 119.1491 % / 91.2235 % / 12 800.00 9 800.00 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 116.67 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHF8 SE6RHF 0.0100 420 000 49 001 400 123.46 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHG6 SE6RHG 0.0100 397 000 49 013 620 111.49 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHH4 SE6RHH 0.0100 440 000 49 055 600 117.32 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHJ0 SE6RHJ 0.0100 418 000 49 039 760 123.85 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RHK8 SE6RHK 0.0100 396 000 49 044 600 108.57 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHL6 SE6RHL 0.0100 451 000 48 965 070 115.76 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHM4 SE6RHM 0.0100 423 000 48 966 480 125.42 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHN2 SE6RHN 0.0100 391 000 49 039 220 109.67 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHP7 SE6RHP 0.0100 447 000 49 022 490 115.51 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHQ5 SE6RHQ 0.0100 424 000 48 976 240 124.27 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHR3 SE6RHR 0.0100 394 000 48 962 380 108.25 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHS1 SE6RHS 0.0100 453 000 49 037 250 111.53 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHT9 SE6RHT 0.0100 439 000 48 961 670 118.36 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RHU7 SE6RHU 0.0100 414 000 49 001 040 109.23 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RHV5 SE6RHV 0.0100 449 000 49 044 270 113.92 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RHW3 SE6RHW 0.0100 430 000 48 985 600 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 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 134.0428 % / 91.2235 % / 14 400.00 9 800.00 104.2555 % / 93.0853 % / 11 200.00 10 000.00 116.3566 % / 93.0853 % / 12 500.00 10 000.00 130.3194 % / 93.0853 % / 14 000.00 10 000.00 109.8406 % / 94.9470 % / 11 800.00 10 200.00 126.5959 % / 94.9470 % / 13 600.00 10 200.00 141.4896 % / 94.9470 % / 15 200.00 10 200.00 132.1811 % / 89.3618 % / 14 200.00 9 600.00 102.3938 % / 91.2235 % / 11 000.00 9 800.00 114.4949 % / 91.2235 % / 12 300.00 9 800.00 126.5959 % / 91.2235 % / 13 600.00 9 800.00 106.1172 % / 93.0853 % / 11 400.00 10 000.00 119.1491 % / 93.0853 % / 12 800.00 10 000.00 132.1811 % / 93.0853 % / 14 200.00 10 000.00 102.3938 % / 94.9470 % / 11 000.00 10 200.00 114.4949 % / 94.9470 % / 12 300.00 10 200.00 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 121.85 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RHX1 SE6RHX 0.0100 402 000 48 983 700 108.33 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RHY9 SE6RHY 0.0100 452 000 48 965 160 111.50 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RHZ6 SE6RHZ 0.0100 439 000 48 948 500 117.57 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RH05 SE6RH0 0.0100 417 000 49 026 690 108.85 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RH13 SE6RH1 0.0100 450 000 48 982 500 113.86 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RH21 SE6RH2 0.0100 430 000 48 959 800 119.35 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RH39 SE6RH3 0.0100 411 000 49 052 850 121.69 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RH47 SE6RH4 0.0100 403 000 49 041 070 108.37 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RH54 SE6RH5 0.0100 452 000 48 983 240 111.31 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RH62 SE6RH6 0.0100 440 000 48 976 400 116.75 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RH70 SE6RH7 0.0100 420 000 49 035 000 108.58 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RH88 SE6RH8 0.0100 451 000 48 969 580 112.02 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RH96 SE6RH9 0.0100 437 000 48 952 740 117.33 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RJA5 SE6RJA 0.0100 418 000 49 043 940 108.04 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RJB3 SE6RJB 0.0100 454 000 49 050 160 109.66 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RJC1 SE6RJC 0.0100 447 000 49 018 020 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 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 128.4577 % / 94.9470 % / 13 800.00 10 200.00 111.7023 % / 91.2235 % / 12 000.00 9 800.00 124.7342 % / 91.2235 % / 13 400.00 9 800.00 137.7662 % / 91.2235 % / 14 800.00 9 800.00 117.2874 % / 93.0853 % / 12 600.00 10 000.00 130.3194 % / 93.0853 % / 14 000.00 10 000.00 145.2130 % / 93.0853 % / 15 600.00 10 000.00 107.9789 % / 94.9470 % / 11 600.00 10 200.00 119.1491 % / 94.9470 % / 12 800.00 10 200.00 134.0428 % / 94.9470 % / 14 400.00 10 200.00 104.2555 % / 90.2927 % / 11 200.00 9 700.00 117.2874 % / 90.2927 % / 12 600.00 9 700.00 130.3194 % / 90.2927 % / 14 000.00 9 700.00 107.0480 % / 91.2235 % / 11 500.00 9 800.00 121.0108 % / 91.2235 % / 13 000.00 9 800.00 135.9045 % / 91.2235 % / 14 600.00 9 800.00 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 113.75 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RJD9 SE6RJD 0.0100 431 000 49 026 250 110.18 17-May-17 19-May-17 26-May-17 DE000SE6RJE7 SE6RJE 0.0100 445 000 49 030 100 115.22 17-May-17 19-May-17 26-May-17 DE000SE6RJF4 SE6RJF 0.0100 425 000 48 968 500 121.49 17-May-17 19-May-17 26-May-17 DE000SE6RJG2 SE6RJG 0.0100 403 000 48 960 470 111.08 17-May-17 19-May-17 26-May-17 DE000SE6RJH0 SE6RJH 0.0100 441 000 48 986 280 115.88 17-May-17 19-May-17 26-May-17 DE000SE6RJJ6 SE6RJJ 0.0100 423 000 49 017 240 122.03 17-May-17 19-May-17 26-May-17 DE000SE6RJK4 SE6RJK 0.0100 402 000 49 056 060 108.53 17-May-17 19-May-17 26-May-17 DE000SE6RJL2 SE6RJL 0.0100 451 000 48 947 030 110.61 17-May-17 19-May-17 26-May-17 DE000SE6RJM0 SE6RJM 0.0100 443 000 49 000 230 115.06 17-May-17 19-May-17 26-May-17 DE000SE6RJN8 SE6RJN 0.0100 426 000 49 015 560 108.82 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJP3 SE6RJP 0.0100 450 000 48 969 000 112.23 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJQ1 SE6RJQ 0.0100 437 000 49 044 510 118.09 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJR9 SE6RJR 0.0100 415 000 49 007 350 109.09 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJS7 SE6RJS 0.0100 449 000 48 981 410 113.16 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJT5 SE6RJT 0.0100 433 000 48 998 280 119.77 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJU3 SE6RJU 0.0100 409 000 48 985 930 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 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 103.3246 % / 92.1544 % / 11 100.00 9 900.00 117.2874 % / 92.1544 % / 12 600.00 9 900.00 128.4577 % / 92.1544 % / 13 800.00 9 900.00 108.9097 % / 93.0853 % / 11 700.00 10 000.00 121.0108 % / 93.0853 % / 13 000.00 10 000.00 134.0428 % / 93.0853 % / 14 400.00 10 000.00 104.2555 % / 94.0161 % / 11 200.00 10 100.00 114.4949 % / 94.0161 % / 12 300.00 10 100.00 124.7342 % / 94.0161 % / 13 400.00 10 100.00 107.9789 % / 94.9470 % / 11 600.00 10 200.00 119.1491 % / 94.9470 % / 12 800.00 10 200.00 132.1811 % / 94.9470 % / 14 200.00 10 200.00 104.2555 % / 90.2927 % / 11 200.00 9 700.00 117.2874 % / 90.2927 % / 12 600.00 9 700.00 130.3194 % / 90.2927 % / 14 000.00 9 700.00 107.9789 % / 91.2235 % / 11 600.00 9 800.00 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 108.49 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJV1 SE6RJV 0.0100 452 000 49 037 480 111.31 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJW9 SE6RJW 0.0100 440 000 48 976 400 115.48 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJX7 SE6RJX 0.0100 424 000 48 963 520 109.02 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJY5 SE6RJY 0.0100 449 000 48 949 980 111.99 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJZ2 SE6RJZ 0.0100 438 000 49 051 620 116.75 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ03 SE6RJ0 0.0100 420 000 49 035 000 108.39 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ11 SE6RJ1 0.0100 452 000 48 992 280 109.79 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ29 SE6RJ2 0.0100 446 000 48 966 340 112.55 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ37 SE6RJ3 0.0100 435 000 48 959 250 108.59 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ45 SE6RJ4 0.0100 451 000 48 974 090 110.44 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ52 SE6RJ5 0.0100 444 000 49 035 360 114.01 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RJ60 SE6RJ6 0.0100 430 000 49 024 300 108.66 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RJ78 SE6RJ7 0.0100 451 000 49 005 660 111.26 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RJ86 SE6RJ8 0.0100 440 000 48 954 400 116.05 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RJ94 SE6RJ9 0.0100 422 000 48 973 100 108.98 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKA3 SE6RKA 0.0100 450 000 49 041 000 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: 10 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 121.0108 % / 91.2235 % / 13 000.00 9 800.00 134.0428 % / 91.2235 % / 14 400.00 9 800.00 102.3938 % / 92.1544 % / 11 000.00 9 900.00 115.4257 % / 92.1544 % / 12 400.00 9 900.00 128.4577 % / 92.1544 % / 13 800.00 9 900.00 105.1863 % / 93.0853 % / 11 300.00 10 000.00 119.1491 % / 93.0853 % / 12 800.00 10 000.00 132.1811 % / 93.0853 % / 14 200.00 10 000.00 126.5959 % / 88.4310 % / 13 600.00 9 500.00 119.1491 % / 89.3618 % / 12 800.00 9 600.00 132.1811 % / 89.3618 % / 14 200.00 9 600.00 111.7023 % / 90.2927 % / 12 000.00 9 700.00 122.8725 % / 90.2927 % / 13 200.00 9 700.00 105.1863 % / 91.2235 % / 11 300.00 9 800.00 116.3566 % / 91.2235 % / 12 500.00 9 800.00 122.8725 % / 91.2235 % / 13 200.00 9 800.00 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 111.96 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKB1 SE6RKB 0.0100 438 000 49 038 480 116.73 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKC9 SE6RKC 0.0100 420 000 49 026 600 108.35 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKD7 SE6RKD 0.0100 452 000 48 974 200 110.07 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKE5 SE6RKE 0.0100 445 000 48 981 150 113.83 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKF2 SE6RKF 0.0100 430 000 48 946 900 108.45 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKG0 SE6RKG 0.0100 452 000 49 019 400 110.56 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKH8 SE6RKH 0.0100 443 000 48 978 080 114.30 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RKJ4 SE6RKJ 0.0100 429 000 49 034 700 114.55 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKK2 SE6RKK 0.0100 428 000 49 027 400 111.52 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKL0 SE6RKL 0.0100 439 000 48 957 280 116.09 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKM8 SE6RKM 0.0100 422 000 48 989 980 109.51 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKN6 SE6RKN 0.0100 447 000 48 950 970 112.18 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKP1 SE6RKP 0.0100 437 000 49 022 660 108.56 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKQ9 SE6RKQ 0.0100 451 000 48 960 560 110.14 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKR7 SE6RKR 0.0100 445 000 49 012 300 111.71 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKS5 SE6RKS 0.0100 439 000 49 040 690 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: 11 Underlying DAX Index DAX Index DAX Index DAX Index DAX Index DAX Index Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG DE0008469008 / .GDAXI / Deutsche Börse AG EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 10 742.840 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 107.9789 % / 92.1544 % / 11 600.00 9 900.00 120.0800 % / 92.1544 % / 12 900.00 9 900.00 128.4577 % / 92.1544 % / 13 800.00 9 900.00 105.1863 % / 93.0853 % / 11 300.00 10 000.00 116.3566 % / 93.0853 % / 12 500.00 10 000.00 123.8034 % / 93.0853 % / 13 300.00 10 000.00 121.3501 % / 93.4724 % / 3 700.00 2 850.00 137.7487 % / 93.4724 % / 4 200.00 2 850.00 154.1474 % / 93.4724 % / 4 700.00 2 850.00 114.7906 % / 95.1122 % / 3 500.00 2 900.00 124.6298 % / 95.1122 % / 3 800.00 2 900.00 134.4690 % / 95.1122 % / 4 100.00 2 900.00 111.5109 % / 96.7521 % / 3 400.00 2 950.00 121.3501 % / 96.7521 % / 3 700.00 2 950.00 131.1893 % / 96.7521 % / 4 000.00 2 950.00 142.6683 % / 91.8325 % / 4 350.00 2 800.00 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 108.70 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKT3 SE6RKT 0.0100 451 000 49 023 700 110.60 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKU1 SE6RKU 0.0100 443 000 48 995 800 112.75 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKV9 SE6RKV 0.0100 435 000 49 046 250 108.40 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKW7 SE6RKW 0.0100 452 000 48 996 800 109.58 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKX5 SE6RKX 0.0100 447 000 48 982 260 111.02 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RKY3 SE6RKY 0.0100 441 000 48 959 820 35.67 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RKZ0 SE6RKZ 0.0100 1 374 000 49 010 580 39.85 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK00 SE6RK0 0.0100 1 230 000 49 015 500 44.04 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK18 SE6RK1 0.0100 1 113 000 49 016 520 33.59 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK26 SE6RK2 0.0100 1 459 000 49 007 810 35.87 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK34 SE6RK3 0.0100 1 366 000 48 998 420 38.15 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK42 SE6RK4 0.0100 1 284 000 48 984 600 32.39 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK59 SE6RK5 0.0100 1 513 000 49 006 070 34.33 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK67 SE6RK6 0.0100 1 427 000 48 988 910 36.28 14-Sep-16 16-Sep-16 23-Sep-16 DE000SE6RK75 SE6RK7 0.0100 1 351 000 49 014 280 39.64 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RK83 SE6RK8 0.0100 1 236 000 48 995 040 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 Underlying Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 108.2311 % / 93.4724 % / 3 300.00 2 850.00 121.3501 % / 93.4724 % / 3 700.00 2 850.00 137.7487 % / 93.4724 % / 4 200.00 2 850.00 111.5109 % / 95.1122 % / 3 400.00 2 900.00 124.6298 % / 95.1122 % / 3 800.00 2 900.00 141.0285 % / 95.1122 % / 4 300.00 2 900.00 114.7906 % / 96.7521 % / 3 500.00 2 950.00 127.9095 % / 96.7521 % / 3 900.00 2 950.00 144.3082 % / 96.7521 % / 4 400.00 2 950.00 141.0285 % / 91.8325 % / 4 300.00 2 800.00 111.5109 % / 93.4724 % / 3 400.00 2 850.00 121.3501 % / 93.4724 % / 3 700.00 2 850.00 131.1893 % / 93.4724 % / 4 000.00 2 850.00 114.7906 % / 95.1122 % / 3 500.00 2 900.00 127.9095 % / 95.1122 % / 3 900.00 2 900.00 137.7487 % / 95.1122 % / 4 200.00 2 900.00 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 31.63 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RK91 SE6RK9 0.0100 1 549 000 48 994 870 34.26 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLA1 SE6RLA 0.0100 1 430 000 48 991 800 37.66 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLB9 SE6RLB 0.0100 1 301 000 48 995 660 31.91 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLC7 SE6RLC 0.0100 1 536 000 49 013 760 34.24 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLD5 SE6RLD 0.0100 1 431 000 48 997 440 37.19 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLE3 SE6RLE 0.0100 1 318 000 49 016 420 32.00 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLF0 SE6RLF 0.0100 1 531 000 48 992 000 33.90 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLG8 SE6RLG 0.0100 1 445 000 48 985 500 36.29 19-Oct-16 21-Oct-16 28-Oct-16 DE000SE6RLH6 SE6RLH 0.0100 1 350 000 48 991 500 37.91 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLJ2 SE6RLJ 0.0100 1 293 000 49 017 630 31.74 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLK0 SE6RLK 0.0100 1 544 000 49 006 560 33.44 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLL8 SE6RLL 0.0100 1 465 000 48 989 600 35.20 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLM6 SE6RLM 0.0100 1 392 000 48 998 400 31.90 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLN4 SE6RLN 0.0100 1 536 000 48 998 400 33.88 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLP9 SE6RLP 0.0100 1 446 000 48 990 480 35.39 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLQ7 SE6RLQ 0.0100 1 385 000 49 015 150 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: 13 Underlying Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 109.8710 % / 96.7521 % / 3 350.00 2 950.00 118.0703 % / 96.7521 % / 3 600.00 2 950.00 134.4690 % / 96.7521 % / 4 100.00 2 950.00 134.4690 % / 91.8325 % / 4 100.00 2 800.00 106.5913 % / 93.4724 % / 3 250.00 2 850.00 114.7906 % / 93.4724 % / 3 500.00 2 850.00 124.6298 % / 93.4724 % / 3 800.00 2 850.00 111.5109 % / 95.1122 % / 3 400.00 2 900.00 121.3501 % / 95.1122 % / 3 700.00 2 900.00 134.4690 % / 95.1122 % / 4 100.00 2 900.00 109.8710 % / 96.7521 % / 3 350.00 2 950.00 118.0703 % / 96.7521 % / 3 600.00 2 950.00 127.9095 % / 96.7521 % / 3 900.00 2 950.00 108.2311 % / 91.8325 % / 3 300.00 2 800.00 106.5913 % / 93.4724 % / 3 250.00 2 850.00 118.0703 % / 93.4724 % / 3 600.00 2 850.00 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 31.00 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLR5 SE6RLR 0.0100 1 581 000 49 011 000 31.89 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLS3 SE6RLS 0.0100 1 537 000 49 014 930 33.87 16-Nov-16 18-Nov-16 25-Nov-16 DE000SE6RLT1 SE6RLT 0.0100 1 447 000 49 009 890 35.80 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RLU9 SE6RLU 0.0100 1 369 000 49 010 200 30.91 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RLV7 SE6RLV 0.0100 1 585 000 48 992 350 31.91 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RLW5 SE6RLW 0.0100 1 536 000 49 013 760 33.45 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RLX3 SE6RLX 0.0100 1 465 000 49 004 250 31.21 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RLY1 SE6RLY 0.0100 1 570 000 48 999 700 32.43 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RLZ8 SE6RLZ 0.0100 1 511 000 49 001 730 34.21 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RL09 SE6RL0 0.0100 1 432 000 48 988 720 30.85 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RL17 SE6RL1 0.0100 1 588 000 48 989 800 31.57 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RL25 SE6RL2 0.0100 1 552 000 48 996 640 32.60 14-Dec-16 16-Dec-16 23-Dec-16 DE000SE6RL33 SE6RL3 0.0100 1 503 000 48 997 800 31.05 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RL41 SE6RL4 0.0100 1 578 000 48 996 900 30.77 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RL58 SE6RL5 0.0100 1 592 000 48 985 840 31.99 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RL66 SE6RL6 0.0100 1 532 000 49 008 680 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 Underlying Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 127.9095 % / 93.4724 % / 3 900.00 2 850.00 109.8710 % / 95.1122 % / 3 350.00 2 900.00 121.3501 % / 95.1122 % / 3 700.00 2 900.00 131.1893 % / 95.1122 % / 4 000.00 2 900.00 114.7906 % / 96.7521 % / 3 500.00 2 950.00 122.9899 % / 96.7521 % / 3 750.00 2 950.00 131.1893 % / 96.7521 % / 4 000.00 2 950.00 141.0285 % / 91.8325 % / 4 300.00 2 800.00 111.5109 % / 93.4724 % / 3 400.00 2 850.00 122.9899 % / 93.4724 % / 3 750.00 2 850.00 131.1893 % / 93.4724 % / 4 000.00 2 850.00 114.7906 % / 95.1122 % / 3 500.00 2 900.00 127.9095 % / 95.1122 % / 3 900.00 2 900.00 137.7487 % / 95.1122 % / 4 200.00 2 900.00 113.1507 % / 96.7521 % / 3 450.00 2 950.00 124.6298 % / 96.7521 % / 3 800.00 2 950.00 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 33.38 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RL74 SE6RL7 0.0100 1 468 000 49 001 840 30.86 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RL82 SE6RL8 0.0100 1 588 000 49 005 680 32.01 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RL90 SE6RL9 0.0100 1 531 000 49 007 310 33.18 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RMA9 SE6RMA 0.0100 1 477 000 49 006 860 31.02 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RMB7 SE6RMB 0.0100 1 580 000 49 011 600 31.72 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RMC5 SE6RMC 0.0100 1 545 000 49 007 400 32.47 18-Jan-17 20-Jan-17 27-Jan-17 DE000SE6RMD3 SE6RMD 0.0100 1 509 000 48 997 230 35.33 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RME1 SE6RME 0.0100 1 387 000 49 002 710 30.98 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMF8 SE6RMF 0.0100 1 582 000 49 010 360 32.21 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMG6 SE6RMG 0.0100 1 521 000 48 991 410 33.23 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMH4 SE6RMH 0.0100 1 475 000 49 014 250 31.03 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMJ0 SE6RMJ 0.0100 1 579 000 48 996 370 32.25 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMK8 SE6RMK 0.0100 1 519 000 48 987 750 33.26 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RML6 SE6RML 0.0100 1 473 000 48 991 980 30.71 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMM4 SE6RMM 0.0100 1 596 000 49 013 160 31.44 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMN2 SE6RMN 0.0100 1 559 000 49 014 960 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 Underlying Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 134.4690 % / 96.7521 % / 4 100.00 2 950.00 141.0285 % / 91.8325 % / 4 300.00 2 800.00 111.5109 % / 93.4724 % / 3 400.00 2 850.00 121.3501 % / 93.4724 % / 3 700.00 2 850.00 131.1893 % / 93.4724 % / 4 000.00 2 850.00 116.4305 % / 95.1122 % / 3 550.00 2 900.00 126.2697 % / 95.1122 % / 3 850.00 2 900.00 134.4690 % / 95.1122 % / 4 100.00 2 900.00 137.7487 % / 91.8325 % / 4 200.00 2 800.00 106.5913 % / 95.1122 % / 3 250.00 2 900.00 114.7906 % / 95.1122 % / 3 500.00 2 900.00 131.1893 % / 95.1122 % / 4 000.00 2 900.00 134.4690 % / 91.8325 % / 4 100.00 2 800.00 114.7906 % / 95.1122 % / 3 500.00 2 900.00 127.9095 % / 95.1122 % / 3 900.00 2 900.00 137.7487 % / 95.1122 % / 4 200.00 2 900.00 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 32.17 15-Feb-17 17-Feb-17 24-Feb-17 DE000SE6RMP7 SE6RMP 0.0100 1 523 000 48 994 910 34.89 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMQ5 SE6RMQ 0.0100 1 404 000 48 985 560 30.89 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMR3 SE6RMR 0.0100 1 586 000 48 991 540 31.80 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMS1 SE6RMS 0.0100 1 541 000 49 003 800 32.93 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMT9 SE6RMT 0.0100 1 488 000 48 999 840 31.04 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMU7 SE6RMU 0.0100 1 579 000 49 012 160 31.88 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMV5 SE6RMV 0.0100 1 537 000 48 999 560 32.65 15-Mar-17 17-Mar-17 24-Mar-17 DE000SE6RMW3 SE6RMW 0.0100 1 501 000 49 007 650 33.96 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RMX1 SE6RMX 0.0100 1 443 000 49 004 280 30.43 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RMY9 SE6RMY 0.0100 1 610 000 48 992 300 30.77 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RMZ6 SE6RMZ 0.0100 1 592 000 48 985 840 32.03 19-Apr-17 21-Apr-17 28-Apr-17 DE000SE6RM08 SE6RM0 0.0100 1 530 000 49 005 900 32.94 17-May-17 19-May-17 26-May-17 DE000SE6RM16 SE6RM1 0.0100 1 488 000 49 014 720 30.32 17-May-17 19-May-17 26-May-17 DE000SE6RM24 SE6RM2 0.0100 1 616 000 48 997 120 31.23 17-May-17 19-May-17 26-May-17 DE000SE6RM32 SE6RM3 0.0100 1 569 000 48 999 870 32.02 17-May-17 19-May-17 26-May-17 DE000SE6RM40 SE6RM4 0.0100 1 530 000 48 990 600 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 Underlying Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 113.1507 % / 93.4724 % / 3 450.00 2 850.00 122.9899 % / 93.4724 % / 3 750.00 2 850.00 134.4690 % / 93.4724 % / 4 100.00 2 850.00 109.8710 % / 95.1122 % / 3 350.00 2 900.00 118.0703 % / 95.1122 % / 3 600.00 2 900.00 127.9095 % / 95.1122 % / 3 900.00 2 900.00 134.4690 % / 91.8325 % / 4 100.00 2 800.00 111.5109 % / 95.1122 % / 3 400.00 2 900.00 124.6298 % / 95.1122 % / 3 800.00 2 900.00 137.7487 % / 95.1122 % / 4 200.00 2 900.00 131.1893 % / 90.1926 % / 4 000.00 2 750.00 111.5109 % / 91.8325 % / 3 400.00 2 800.00 124.6298 % / 91.8325 % / 3 800.00 2 800.00 134.4690 % / 91.8325 % / 4 100.00 2 800.00 111.5109 % / 91.8325 % / 3 400.00 2 800.00 127.9095 % / 91.8325 % / 3 900.00 2 800.00 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 30.14 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RM57 SE6RM5 0.0100 1 626 000 49 007 640 30.88 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RM65 SE6RM6 0.0100 1 587 000 49 006 560 31.93 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RM73 SE6RM7 0.0100 1 535 000 49 012 550 29.86 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RM81 SE6RM8 0.0100 1 641 000 49 000 260 30.24 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RM99 SE6RM9 0.0100 1 620 000 48 988 800 30.89 14-Jun-17 16-Jun-17 23-Jun-17 DE000SE6RNA7 SE6RNA 0.0100 1 586 000 48 991 540 32.15 19-Jul-17 21-Jul-17 28-Jul-17 DE000SE6RNB5 SE6RNB 0.0100 1 524 000 48 996 600 29.83 19-Jul-17 21-Jul-17 28-Jul-17 DE000SE6RNC3 SE6RNC 0.0100 1 643 000 49 010 690 30.48 19-Jul-17 21-Jul-17 28-Jul-17 DE000SE6RND1 SE6RND 0.0100 1 608 000 49 011 840 31.36 19-Jul-17 21-Jul-17 28-Jul-17 DE000SE6RNE9 SE6RNE 0.0100 1 563 000 49 015 680 31.86 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RNF6 SE6RNF 0.0100 1 538 000 49 000 680 29.96 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RNG4 SE6RNG 0.0100 1 635 000 48 984 600 30.86 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RNH2 SE6RNH 0.0100 1 588 000 49 005 680 31.75 13-Sep-17 15-Sep-17 22-Sep-17 DE000SE6RNJ8 SE6RNJ 0.0100 1 543 000 48 990 250 29.76 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RNK6 SE6RNK 0.0100 1 647 000 49 014 720 30.69 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RNL4 SE6RNL 0.0100 1 597 000 49 011 930 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 Underlying Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 Euro STOXX 50 ISIN / RIC / Relevant Fixing Place EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich EU0009658145 / .STOXX50E / Stoxx Limited, Zürich Spot in Index Points FX Initial 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 3 049.030 EUR 1.0000 Bonus Level in % / Barrier in % / Bonus Level Barrier 137.7487 % / 91.8325 % / 4 200.00 2 800.00 108.2311 % / 93.4724 % / 3 300.00 2 850.00 124.6298 % / 93.4724 % / 3 800.00 2 850.00 141.0285 % / 93.4724 % / 4 300.00 2 850.00 118.0703 % / 88.5528 % / 3 600.00 2 700.00 131.1893 % / 88.5528 % / 4 000.00 2 700.00 150.8677 % / 88.5528 % / 4 600.00 2 700.00 113.1507 % / 91.8325 % / 3 450.00 2 800.00 121.3501 % / 91.8325 % / 3 700.00 2 800.00 131.1893 % / 91.8325 % / 4 000.00 2 800.00 118.0703 % / 88.5528 % / 3 600.00 2 700.00 127.9095 % / 88.5528 % / 3 900.00 2 700.00 141.0285 % / 88.5528 % / 4 300.00 2 700.00 121.3501 % / 91.8325 % / 3 700.00 2 800.00 131.1893 % / 91.8325 % / 4 000.00 2 800.00 141.0285 % / 91.8325 % / 4 300.00 2 800.00 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 31.46 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RNM2 SE6RNM 0.0100 1 558 000 49 014 680 29.59 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RNN0 SE6RNN 0.0100 1 656 000 49 001 040 30.22 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RNP5 SE6RNP 0.0100 1 621 000 48 986 620 31.26 13-Dec-17 15-Dec-17 22-Dec-17 DE000SE6RNQ3 SE6RNQ 0.0100 1 567 000 48 984 420 30.25 14-Mar-18 16-Mar-18 23-Mar-18 DE000SE6RNR1 SE6RNR 0.0100 1 620 000 49 005 000 31.31 14-Mar-18 16-Mar-18 23-Mar-18 DE000SE6RNS9 SE6RNS 0.0100 1 565 000 49 000 150 33.29 14-Mar-18 16-Mar-18 23-Mar-18 DE000SE6RNT7 SE6RNT 0.0100 1 472 000 49 002 880 29.73 14-Mar-18 16-Mar-18 23-Mar-18 DE000SE6RNU5 SE6RNU 0.0100 1 648 000 48 995 040 30.08 14-Mar-18 16-Mar-18 23-Mar-18 DE000SE6RNV3 SE6RNV 0.0100 1 629 000 49 000 320 30.67 14-Mar-18 16-Mar-18 23-Mar-18 DE000SE6RNW1 SE6RNW 0.0100 1 598 000 49 010 660 29.51 13-Jun-18 15-Jun-18 22-Jun-18 DE000SE6RNX9 SE6RNX 0.0100 1 660 000 48 986 600 30.20 13-Jun-18 15-Jun-18 22-Jun-18 DE000SE6RNY7 SE6RNY 0.0100 1 623 000 49 014 600 31.33 13-Jun-18 15-Jun-18 22-Jun-18 DE000SE6RNZ4 SE6RNZ 0.0100 1 564 000 49 000 120 29.33 13-Jun-18 15-Jun-18 22-Jun-18 DE000SE6RN07 SE6RN0 0.0100 1 671 000 49 010 430 29.85 13-Jun-18 15-Jun-18 22-Jun-18 DE000SE6RN15 SE6RN1 0.0100 1 642 000 49 013 700 30.47 13-Jun-18 15-Jun-18 22-Jun-18 DE000SE6RN23 SE6RN2 0.0100 1 608 000 48 995 760 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: 18
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