Bonus Certificates on Indices

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
31-May-16
Launch Date
01-Jun-16
First Listing Date
03-Jun-16
Closing Date / Value Date
07-Jun-16
Investor Payment Date
07-Jun-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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
125.8077 % /
80.3234 % /
13 000.00
8 300.00
123.8722 % /
82.2589 % /
12 800.00
8 500.00
135.4852 % /
82.2589 % /
14 000.00
8 500.00
114.1947 % /
84.1944 % /
11 800.00
8 700.00
127.7432 % /
84.1944 % /
13 200.00
8 700.00
118.0657 % /
86.1299 % /
12 200.00
8 900.00
130.6465 % /
86.1299 % /
13 500.00
8 900.00
109.3559 % /
88.0654 % /
11 300.00
9 100.00
122.9045 % /
88.0654 % /
12 700.00
9 100.00
120.0012 % /
90.0009 % /
12 400.00
9 300.00
131.6142 % /
90.0009 % /
13 600.00
9 300.00
110.3237 % /
91.9364 % /
11 400.00
9 500.00
118.0657 % /
91.9364 % /
12 200.00
9 500.00
135.4852 % /
91.9364 % /
14 000.00
9 500.00
104.5172 % /
92.9042 % /
10 800.00
9 600.00
101.6139 % /
93.8719 % /
10 500.00
9 700.00
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
126.91
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE471Z5
SE471Z
0.0100
386 000
48 987 260
124.30
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47101
SE4710
0.0100
394 000
48 974 200
135.17
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47119
SE4711
0.0100
363 000
49 066 710
114.67
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47127
SE4712
0.0100
427 000
48 964 090
126.89
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47135
SE4713
0.0100
386 000
48 979 540
117.20
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47143
SE4714
0.0100
418 000
48 989 600
128.18
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47150
SE4715
0.0100
382 000
48 964 760
109.30
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47168
SE4716
0.0100
448 000
48 966 400
120.11
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47176
SE4717
0.0100
408 000
49 004 880
116.32
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47184
SE4718
0.0100
421 000
48 970 720
125.31
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47192
SE4719
0.0100
391 000
48 996 210
108.22
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472A6
SE472A
0.0100
453 000
49 023 660
113.36
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472B4
SE472B
0.0100
432 000
48 971 520
125.58
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472C2
SE472C
0.0100
390 000
48 976 200
105.11
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472D0
SE472D
0.0100
466 000
48 981 260
104.22
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472E8
SE472E
0.0100
470 000
48 983 400
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
114.1947 % /
93.8719 % /
11 800.00
9 700.00
130.6465 % /
93.8719 % /
13 500.00
9 700.00
112.2592 % /
86.1299 % /
11 600.00
8 900.00
124.8400 % /
86.1299 % /
12 900.00
8 900.00
132.5820 % /
86.1299 % /
13 700.00
8 900.00
108.3882 % /
88.0654 % /
11 200.00
9 100.00
121.9367 % /
88.0654 % /
12 600.00
9 100.00
135.4852 % /
88.0654 % /
14 000.00
9 100.00
104.5172 % /
90.0009 % /
10 800.00
9 300.00
116.1302 % /
90.0009 % /
12 000.00
9 300.00
129.6787 % /
90.0009 % /
13 400.00
9 300.00
116.1302 % /
91.9364 % /
12 000.00
9 500.00
127.7432 % /
91.9364 % /
13 200.00
9 500.00
143.2272 % /
91.9364 % /
14 800.00
9 500.00
108.3882 % /
93.8719 % /
11 200.00
9 700.00
120.0012 % /
93.8719 % /
12 400.00
9 700.00
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
109.36
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472F5
SE472F
0.0100
448 000
48 993 280
119.34
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE472G3
SE472G
0.0100
411 000
49 048 740
111.02
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472H1
SE472H
0.0100
441 000
48 959 820
120.94
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472J7
SE472J
0.0100
405 000
48 980 700
127.28
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472K5
SE472K
0.0100
385 000
49 002 800
107.78
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472L3
SE472L
0.0100
455 000
49 039 900
117.25
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472M1
SE472M
0.0100
418 000
49 010 500
127.66
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472N9
SE472N
0.0100
384 000
49 021 440
105.46
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472P4
SE472P
0.0100
465 000
49 038 900
111.73
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472Q2
SE472Q
0.0100
439 000
49 049 470
121.21
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472R0
SE472R
0.0100
404 000
48 968 840
110.45
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472S8
SE472S
0.0100
444 000
49 039 800
117.71
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472T6
SE472T
0.0100
416 000
48 967 360
127.57
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472U4
SE472U
0.0100
384 000
48 986 880
105.64
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472V2
SE472V
0.0100
464 000
49 016 960
111.10
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472W0
SE472W
0.0100
441 000
48 995 100
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
133.5497 % /
93.8719 % /
13 800.00
9 700.00
116.1302 % /
72.5814 % /
12 000.00
7 500.00
133.5497 % /
72.5814 % /
13 800.00
7 500.00
147.0982 % /
72.5814 % /
15 200.00
7 500.00
127.7432 % /
74.5169 % /
13 200.00
7 700.00
141.2917 % /
74.5169 % /
14 600.00
7 700.00
108.3882 % /
76.4524 % /
11 200.00
7 900.00
120.9690 % /
76.4524 % /
12 500.00
7 900.00
133.5497 % /
76.4524 % /
13 800.00
7 900.00
118.0657 % /
78.3879 % /
12 200.00
8 100.00
140.3240 % /
78.3879 % /
14 500.00
8 100.00
113.2269 % /
80.3234 % /
11 700.00
8 300.00
120.9690 % /
80.3234 % /
12 500.00
8 300.00
135.4852 % /
80.3234 % /
14 000.00
8 300.00
120.0012 % /
82.2589 % /
12 400.00
8 500.00
140.3240 % /
82.2589 % /
14 500.00
8 500.00
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
118.47
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE472X8
SE472X
0.0100
414 000
49 046 580
117.53
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE472Y6
SE472Y
0.0100
417 000
49 010 010
133.92
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE472Z3
SE472Z
0.0100
366 000
49 014 720
146.92
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47200
SE4720
0.0100
334 000
49 071 280
127.69
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47218
SE4721
0.0100
384 000
49 032 960
140.47
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47226
SE4722
0.0100
349 000
49 024 030
110.49
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47234
SE4723
0.0100
443 000
48 947 070
120.73
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47242
SE4724
0.0100
406 000
49 016 380
132.28
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47259
SE4725
0.0100
370 000
48 943 600
117.46
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47267
SE4726
0.0100
417 000
48 980 820
137.40
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47275
SE4727
0.0100
357 000
49 051 800
112.83
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47283
SE4728
0.0100
434 000
48 968 220
119.14
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE47291
SE4729
0.0100
411 000
48 966 540
131.80
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473A4
SE473A
0.0100
372 000
49 029 600
117.40
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473B2
SE473B
0.0100
417 000
48 955 800
134.51
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473C0
SE473C
0.0100
364 000
48 961 640
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
112.2592 % /
84.1944 % /
11 600.00
8 700.00
123.8722 % /
84.1944 % /
12 800.00
8 700.00
135.4852 % /
84.1944 % /
14 000.00
8 700.00
118.0657 % /
86.1299 % /
12 200.00
8 900.00
130.6465 % /
86.1299 % /
13 500.00
8 900.00
138.3885 % /
86.1299 % /
14 300.00
8 900.00
116.1302 % /
88.0654 % /
12 000.00
9 100.00
126.7755 % /
88.0654 % /
13 100.00
9 100.00
137.4207 % /
88.0654 % /
14 200.00
9 100.00
102.5817 % /
90.0009 % /
10 600.00
9 300.00
112.2592 % /
90.0009 % /
11 600.00
9 300.00
123.8722 % /
90.0009 % /
12 800.00
9 300.00
106.4527 % /
91.9364 % /
11 000.00
9 500.00
118.0657 % /
91.9364 % /
12 200.00
9 500.00
135.4852 % /
91.9364 % /
14 000.00
9 500.00
102.5817 % /
93.8719 % /
10 600.00
9 700.00
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
110.69
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473D8
SE473D
0.0100
443 000
49 035 670
119.44
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473E6
SE473E
0.0100
410 000
48 970 400
128.81
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473F3
SE473F
0.0100
380 000
48 947 800
113.83
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473G1
SE473G
0.0100
430 000
48 946 900
123.28
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473H9
SE473H
0.0100
397 000
48 942 160
129.21
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473J5
SE473J
0.0100
379 000
48 970 590
111.40
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473K3
SE473K
0.0100
440 000
49 016 000
118.72
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473L1
SE473L
0.0100
413 000
49 031 360
126.30
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473M9
SE473M
0.0100
388 000
49 004 400
104.65
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473N7
SE473N
0.0100
468 000
48 976 200
108.15
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473P2
SE473P
0.0100
453 000
48 991 950
115.06
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473Q0
SE473Q
0.0100
426 000
49 015 560
105.16
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473R8
SE473R
0.0100
466 000
49 004 560
110.10
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473S6
SE473S
0.0100
445 000
48 994 500
119.97
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473T4
SE473T
0.0100
408 000
48 947 760
104.08
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473U2
SE473U
0.0100
471 000
49 021 680
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: 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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
113.2269 % /
93.8719 % /
11 700.00
9 700.00
127.7432 % /
93.8719 % /
13 200.00
9 700.00
117.0979 % /
70.6459 % /
12 100.00
7 300.00
129.6787 % /
70.6459 % /
13 400.00
7 300.00
154.8403 % /
70.6459 % /
16 000.00
7 300.00
135.4852 % /
72.5814 % /
14 000.00
7 500.00
174.1953 % /
72.5814 % /
18 000.00
7 500.00
130.6465 % /
74.5169 % /
13 500.00
7 700.00
138.3885 % /
74.5169 % /
14 300.00
7 700.00
142.2595 % /
76.4524 % /
14 700.00
7 900.00
116.1302 % /
78.3879 % /
12 000.00
8 100.00
133.5497 % /
78.3879 % /
13 800.00
8 100.00
116.1302 % /
80.3234 % /
12 000.00
8 300.00
140.3240 % /
80.3234 % /
14 500.00
8 300.00
125.8077 % /
82.2589 % /
13 000.00
8 500.00
112.2592 % /
86.1299 % /
11 600.00
8 900.00
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
106.71
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473V0
SE473V
0.0100
459 000
48 979 890
113.29
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE473W8
SE473W
0.0100
433 000
49 054 570
118.18
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE473X6
SE473X
0.0100
415 000
49 044 700
129.80
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE473Y4
SE473Y
0.0100
378 000
49 064 400
153.78
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE473Z1
SE473Z
0.0100
319 000
49 055 820
134.53
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47309
SE4730
0.0100
364 000
48 968 920
170.92
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47317
SE4731
0.0100
287 000
49 054 040
129.20
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47325
SE4732
0.0100
379 000
48 966 800
136.32
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47333
SE4733
0.0100
359 000
48 938 880
138.73
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47341
SE4734
0.0100
353 000
48 971 690
114.96
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47358
SE4735
0.0100
426 000
48 972 960
129.77
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47366
SE4736
0.0100
378 000
49 053 060
114.20
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47374
SE4737
0.0100
429 000
48 991 800
134.25
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47382
SE4738
0.0100
365 000
49 001 250
120.82
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47390
SE4739
0.0100
406 000
49 052 920
109.17
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474A2
SE474A
0.0100
449 000
49 017 330
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
120.9690 % /
86.1299 % /
12 500.00
8 900.00
133.5497 % /
86.1299 % /
13 800.00
8 900.00
115.1624 % /
88.0654 % /
11 900.00
9 100.00
125.8077 % /
88.0654 % /
13 000.00
9 100.00
138.3885 % /
88.0654 % /
14 300.00
9 100.00
112.2592 % /
90.0009 % /
11 600.00
9 300.00
122.9045 % /
90.0009 % /
12 700.00
9 300.00
131.6142 % /
90.0009 % /
13 600.00
9 300.00
106.4527 % /
91.9364 % /
11 000.00
9 500.00
119.0334 % /
91.9364 % /
12 300.00
9 500.00
139.3562 % /
91.9364 % /
14 400.00
9 500.00
110.3237 % /
93.8719 % /
11 400.00
9 700.00
121.9367 % /
93.8719 % /
12 600.00
9 700.00
133.5497 % /
93.8719 % /
13 800.00
9 700.00
109.3559 % /
86.1299 % /
11 300.00
8 900.00
122.9045 % /
86.1299 % /
12 700.00
8 900.00
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
114.71
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474B0
SE474B
0.0100
427 000
48 981 170
123.71
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474C8
SE474C
0.0100
396 000
48 989 160
109.90
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474D6
SE474D
0.0100
446 000
49 015 400
116.57
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474E4
SE474E
0.0100
420 000
48 959 400
125.01
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474F1
SE474F
0.0100
392 000
49 003 920
107.50
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474G9
SE474G
0.0100
456 000
49 020 000
113.17
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474H7
SE474H
0.0100
433 000
49 002 610
118.40
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474J3
SE474J
0.0100
414 000
49 017 600
104.91
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474K1
SE474K
0.0100
467 000
48 992 970
109.64
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474L9
SE474L
0.0100
447 000
49 009 080
120.33
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474M7
SE474M
0.0100
407 000
48 974 310
105.33
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474N5
SE474N
0.0100
465 000
48 978 450
109.51
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474P0
SE474P
0.0100
447 000
48 950 970
114.65
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE474Q8
SE474Q
0.0100
427 000
48 955 550
107.13
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474R6
SE474R
0.0100
457 000
48 958 410
114.65
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474S4
SE474S
0.0100
427 000
48 955 550
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
133.5497 % /
86.1299 % /
13 800.00
8 900.00
120.0012 % /
88.0654 % /
12 400.00
9 100.00
131.6142 % /
88.0654 % /
13 600.00
9 100.00
145.1627 % /
88.0654 % /
15 000.00
9 100.00
118.0657 % /
90.0009 % /
12 200.00
9 300.00
126.7755 % /
90.0009 % /
13 100.00
9 300.00
139.3562 % /
90.0009 % /
14 400.00
9 300.00
116.1302 % /
91.9364 % /
12 000.00
9 500.00
130.6465 % /
91.9364 % /
13 500.00
9 500.00
145.1627 % /
91.9364 % /
15 000.00
9 500.00
110.3237 % /
93.8719 % /
11 400.00
9 700.00
121.9367 % /
93.8719 % /
12 600.00
9 700.00
133.5497 % /
93.8719 % /
13 800.00
9 700.00
121.9367 % /
67.7426 % /
12 600.00
7 000.00
135.4852 % /
67.7426 % /
14 000.00
7 000.00
150.9693 % /
67.7426 % /
15 600.00
7 000.00
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
121.77
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474T2
SE474T
0.0100
402 000
48 951 540
111.57
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474U0
SE474U
0.0100
439 000
48 979 230
118.56
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474V8
SE474V
0.0100
413 000
48 965 280
127.03
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474W6
SE474W
0.0100
386 000
49 033 580
109.34
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474X4
SE474X
0.0100
448 000
48 984 320
113.85
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474Y2
SE474Y
0.0100
430 000
48 955 500
120.82
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE474Z9
SE474Z
0.0100
406 000
49 052 920
107.41
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47408
SE4740
0.0100
456 000
48 978 960
113.85
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47416
SE4741
0.0100
430 000
48 955 500
120.85
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47424
SE4742
0.0100
405 000
48 944 250
104.93
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47432
SE4743
0.0100
467 000
49 002 310
108.34
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47440
SE4744
0.0100
452 000
48 969 680
112.76
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47457
SE4745
0.0100
435 000
49 050 600
121.89
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE47465
SE4746
0.0100
402 000
48 999 780
134.28
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE47473
SE4747
0.0100
365 000
49 012 200
148.82
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE47481
SE4748
0.0100
329 000
48 961 780
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
110.3237 % /
92.9042 % /
11 400.00
9 600.00
119.0334 % /
92.9042 % /
12 300.00
9 600.00
132.5820 % /
92.9042 % /
13 700.00
9 600.00
120.0012 % /
67.7426 % /
12 400.00
7 000.00
128.7110 % /
67.7426 % /
13 300.00
7 000.00
145.1627 % /
67.7426 % /
15 000.00
7 000.00
114.1947 % /
92.9042 % /
11 800.00
9 600.00
125.8077 % /
92.9042 % /
13 000.00
9 600.00
143.2272 % /
92.9042 % /
14 800.00
9 600.00
113.2269 % /
86.1299 % /
11 700.00
8 900.00
125.8077 % /
86.1299 % /
13 000.00
8 900.00
138.3885 % /
86.1299 % /
14 300.00
8 900.00
105.4849 % /
88.0654 % /
10 900.00
9 100.00
121.9367 % /
88.0654 % /
12 600.00
9 100.00
134.5175 % /
88.0654 % /
13 900.00
9 100.00
107.4204 % /
90.0009 % /
11 100.00
9 300.00
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
105.01
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE47499
SE4749
0.0100
467 000
49 039 670
107.37
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE475A9
SE475A
0.0100
456 000
48 960 720
112.49
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE475B7
SE475B
0.0100
436 000
49 045 640
119.68
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE475C5
SE475C
0.0100
409 000
48 949 120
127.24
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE475D3
SE475D
0.0100
385 000
48 987 400
142.32
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE475E1
SE475E
0.0100
344 000
48 958 080
105.67
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE475F8
SE475F
0.0100
464 000
49 030 880
109.20
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE475G6
SE475G
0.0100
449 000
49 030 800
115.78
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE475H4
SE475H
0.0100
423 000
48 974 940
107.64
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475J0
SE475J
0.0100
455 000
48 976 200
113.64
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475K8
SE475K
0.0100
431 000
48 978 840
120.92
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475L6
SE475L
0.0100
405 000
48 972 600
104.95
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475M4
SE475M
0.0100
467 000
49 011 650
110.39
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475N2
SE475N
0.0100
444 000
49 013 160
116.73
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475P7
SE475P
0.0100
420 000
49 026 600
104.92
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475Q5
SE475Q
0.0100
467 000
48 997 640
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
119.0334 % /
90.0009 % /
12 300.00
9 300.00
131.6142 % /
90.0009 % /
13 600.00
9 300.00
108.3882 % /
91.9364 % /
11 200.00
9 500.00
121.9367 % /
91.9364 % /
12 600.00
9 500.00
133.5497 % /
91.9364 % /
13 800.00
9 500.00
103.5494 % /
93.8719 % /
10 700.00
9 700.00
112.2592 % /
93.8719 % /
11 600.00
9 700.00
125.8077 % /
93.8719 % /
13 000.00
9 700.00
111.2914 % /
86.1299 % /
11 500.00
8 900.00
125.8077 % /
86.1299 % /
13 000.00
8 900.00
137.4207 % /
86.1299 % /
14 200.00
8 900.00
109.3559 % /
88.0654 % /
11 300.00
9 100.00
120.0012 % /
88.0654 % /
12 400.00
9 100.00
131.6142 % /
88.0654 % /
13 600.00
9 100.00
104.5172 % /
90.0009 % /
10 800.00
9 300.00
122.9045 % /
90.0009 % /
12 700.00
9 300.00
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
108.10
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475R3
SE475R
0.0100
453 000
48 969 300
113.41
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475S1
SE475S
0.0100
432 000
48 993 120
104.70
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475T9
SE475T
0.0100
468 000
48 999 600
108.04
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475U7
SE475U
0.0100
454 000
49 050 160
112.34
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475V5
SE475V
0.0100
436 000
48 980 240
104.00
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475W3
SE475W
0.0100
471 000
48 984 000
104.88
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475X1
SE475X
0.0100
467 000
48 978 960
107.99
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE475Y9
SE475Y
0.0100
454 000
49 027 460
106.67
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE475Z6
SE475Z
0.0100
459 000
48 961 530
112.06
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47507
SE4750
0.0100
437 000
48 970 220
117.86
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47515
SE4751
0.0100
416 000
49 029 760
105.74
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47523
SE4752
0.0100
463 000
48 957 620
108.64
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47531
SE4753
0.0100
451 000
48 996 640
113.33
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47549
SE4754
0.0100
432 000
48 958 560
104.75
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47556
SE4755
0.0100
468 000
49 023 000
108.65
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47564
SE4756
0.0100
451 000
49 001 150
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: 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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
135.4852 % /
90.0009 % /
14 000.00
9 300.00
106.4527 % /
91.9364 % /
11 000.00
9 500.00
118.0657 % /
91.9364 % /
12 200.00
9 500.00
133.5497 % /
91.9364 % /
13 800.00
9 500.00
110.3237 % /
92.9042 % /
11 400.00
9 600.00
121.9367 % /
92.9042 % /
12 600.00
9 600.00
132.5820 % /
92.9042 % /
13 700.00
9 600.00
118.0657 % /
62.9039 % /
12 200.00
6 500.00
131.6142 % /
62.9039 % /
13 600.00
6 500.00
143.2272 % /
62.9039 % /
14 800.00
6 500.00
115.1624 % /
64.8394 % /
11 900.00
6 700.00
127.7432 % /
64.8394 % /
13 200.00
6 700.00
142.2595 % /
64.8394 % /
14 700.00
6 700.00
110.3237 % /
66.7749 % /
11 400.00
6 900.00
123.8722 % /
66.7749 % /
12 800.00
6 900.00
134.5175 % /
66.7749 % /
13 900.00
6 900.00
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
113.31
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47572
SE4757
0.0100
432 000
48 949 920
104.71
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47580
SE4758
0.0100
468 000
49 004 280
106.47
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE47598
SE4759
0.0100
460 000
48 976 200
110.88
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE476A7
SE476A
0.0100
442 000
49 008 960
104.96
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE476B5
SE476B
0.0100
467 000
49 016 320
106.94
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE476C3
SE476C
0.0100
458 000
48 978 520
109.77
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE476D1
SE476D
0.0100
446 000
48 957 420
117.54
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476E9
SE476E
0.0100
417 000
49 014 180
127.66
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476F6
SE476F
0.0100
384 000
49 021 440
137.46
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476G4
SE476G
0.0100
356 000
48 935 760
115.06
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476H2
SE476H
0.0100
426 000
49 015 560
123.72
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476J8
SE476J
0.0100
396 000
48 993 120
135.52
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476K6
SE476K
0.0100
362 000
49 058 240
111.81
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476L4
SE476L
0.0100
438 000
48 972 780
120.01
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476M2
SE476M
0.0100
408 000
48 964 080
128.03
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476N0
SE476N
0.0100
383 000
49 035 490
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
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
137.4207 % /
68.7104 % /
14 200.00
7 100.00
143.2272 % /
69.6781 % /
14 800.00
7 200.00
114.1947 % /
70.6459 % /
11 800.00
7 300.00
122.9045 % /
70.6459 % /
12 700.00
7 300.00
141.2917 % /
70.6459 % /
14 600.00
7 300.00
137.4207 % /
71.6136 % /
14 200.00
7 400.00
120.9690 % /
72.5814 % /
12 500.00
7 500.00
131.6142 % /
73.5491 % /
13 600.00
7 600.00
109.3559 % /
74.5169 % /
11 300.00
7 700.00
123.8722 % /
74.5169 % /
12 800.00
7 700.00
135.4852 % /
74.5169 % /
14 000.00
7 700.00
113.2269 % /
76.4524 % /
11 700.00
7 900.00
120.0012 % /
76.4524 % /
12 400.00
7 900.00
132.5820 % /
76.4524 % /
13 700.00
7 900.00
107.4204 % /
78.3879 % /
11 100.00
8 100.00
116.1302 % /
78.3879 % /
12 000.00
8 100.00
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
129.18
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476P5
SE476P
0.0100
379 000
48 959 220
133.13
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476Q3
SE476Q
0.0100
368 000
48 991 840
112.48
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476R1
SE476R
0.0100
436 000
49 041 280
117.58
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476S9
SE476S
0.0100
417 000
49 030 860
130.91
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476T7
SE476T
0.0100
374 000
48 960 340
127.28
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476U5
SE476U
0.0100
385 000
49 002 800
115.47
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476V3
SE476V
0.0100
424 000
48 959 280
121.83
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476W1
SE476W
0.0100
402 000
48 975 660
109.02
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476X9
SE476X
0.0100
449 000
48 949 980
116.27
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476Y7
SE476Y
0.0100
421 000
48 949 670
123.88
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE476Z4
SE476Z
0.0100
396 000
49 056 480
109.94
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47606
SE4760
0.0100
446 000
49 033 240
113.15
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47614
SE4761
0.0100
433 000
48 993 950
120.60
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47622
SE4762
0.0100
406 000
48 963 600
107.30
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47630
SE4763
0.0100
457 000
49 036 100
110.46
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47648
SE4764
0.0100
444 000
49 044 240
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 12
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
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
127.7432 % /
78.3879 % /
13 200.00
8 100.00
114.1947 % /
80.3234 % /
11 800.00
8 300.00
137.4207 % /
80.3234 % /
14 200.00
8 300.00
109.3559 % /
84.1944 % /
11 300.00
8 700.00
120.9690 % /
84.1944 % /
12 500.00
8 700.00
133.5497 % /
84.1944 % /
13 800.00
8 700.00
105.4849 % /
86.1299 % /
10 900.00
8 900.00
114.1947 % /
86.1299 % /
11 800.00
8 900.00
127.7432 % /
86.1299 % /
13 200.00
8 900.00
109.3559 % /
88.0654 % /
11 300.00
9 100.00
118.0657 % /
88.0654 % /
12 200.00
9 100.00
132.5820 % /
88.0654 % /
13 700.00
9 100.00
112.2592 % /
90.0009 % /
11 600.00
9 300.00
123.8722 % /
90.0009 % /
12 800.00
9 300.00
137.4207 % /
90.0009 % /
14 200.00
9 300.00
106.4527 % /
91.9364 % /
11 000.00
9 500.00
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
116.39
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47655
SE4765
0.0100
421 000
49 000 190
108.95
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47663
SE4766
0.0100
450 000
49 027 500
120.75
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47671
SE4767
0.0100
406 000
49 024 500
106.36
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47689
SE4768
0.0100
461 000
49 031 960
109.94
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE47697
SE4769
0.0100
446 000
49 033 240
115.55
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477A5
SE477A
0.0100
424 000
48 993 200
105.28
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477B3
SE477B
0.0100
465 000
48 955 200
107.00
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477C1
SE477C
0.0100
458 000
49 006 000
111.58
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477D9
SE477D
0.0100
439 000
48 983 620
105.53
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477E7
SE477E
0.0100
464 000
48 965 920
107.36
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477F4
SE477F
0.0100
456 000
48 956 160
112.19
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477G2
SE477G
0.0100
437 000
49 027 030
105.59
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477H0
SE477H
0.0100
464 000
48 993 760
108.11
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477J6
SE477J
0.0100
453 000
48 973 830
112.45
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477K4
SE477K
0.0100
436 000
49 028 200
104.67
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477L2
SE477L
0.0100
468 000
48 985 560
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
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
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
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
EU0009658145 / .STOXX50E /
Stoxx Limited, Zürich
EU0009658145 / .STOXX50E /
Stoxx Limited, Zürich
EU0009658145 / .STOXX50E /
Stoxx Limited, Zürich
Spot in Index Points
FX
Initial
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
10 333.230 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
118.0657 % /
91.9364 % /
12 200.00
9 500.00
131.6142 % /
91.9364 % /
13 600.00
9 500.00
110.3237 % /
92.9042 % /
11 400.00
9 600.00
121.9367 % /
92.9042 % /
12 600.00
9 600.00
135.4852 % /
92.9042 % /
14 000.00
9 600.00
112.2592 % /
86.1299 % /
11 600.00
8 900.00
123.8722 % /
86.1299 % /
12 800.00
8 900.00
105.4849 % /
88.0654 % /
10 900.00
9 100.00
114.1947 % /
88.0654 % /
11 800.00
9 100.00
125.8077 % /
88.0654 % /
13 000.00
9 100.00
108.3882 % /
90.0009 % /
11 200.00
9 300.00
120.0012 % /
90.0009 % /
12 400.00
9 300.00
133.5497 % /
90.0009 % /
13 800.00
9 300.00
105.1777 % /
80.9059 % /
3 250.00
2 500.00
100.3233 % /
84.1421 % /
3 100.00
2 600.00
103.5595 % /
93.8508 % /
3 200.00
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
106.06
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477M0
SE477M
0.0100
462 000
48 999 720
109.13
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477N8
SE477N
0.0100
449 000
48 999 370
104.86
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477P3
SE477P
0.0100
467 000
48 969 620
106.42
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477Q1
SE477Q
0.0100
460 000
48 953 200
109.46
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE477R9
SE477R
0.0100
448 000
49 038 080
106.23
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477S7
SE477S
0.0100
461 000
48 972 030
109.30
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477T5
SE477T
0.0100
448 000
48 966 400
104.91
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477U3
SE477U
0.0100
467 000
48 992 970
106.12
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477V1
SE477V
0.0100
462 000
49 027 440
108.95
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477W9
SE477W
0.0100
450 000
49 027 500
104.95
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477X7
SE477X
0.0100
467 000
49 011 650
106.69
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477Y5
SE477Y
0.0100
459 000
48 970 710
110.12
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE477Z2
SE477Z
0.0100
445 000
49 003 400
32.31
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47705
SE4770
0.0100
1 517 000
49 014 270
31.40
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47713
SE4771
0.0100
1 561 000
49 015 400
31.11
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47721
SE4772
0.0100
1 575 000
48 998 250
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
116.5045 % /
93.8508 % /
3 600.00
2 900.00
129.4494 % /
93.8508 % /
4 000.00
2 900.00
100.3233 % /
87.3784 % /
3 100.00
2 700.00
101.9414 % /
88.9965 % /
3 150.00
2 750.00
105.1777 % /
93.8508 % /
3 250.00
2 900.00
116.5045 % /
93.8508 % /
3 600.00
2 900.00
223.3002 % /
93.8508 % /
6 900.00
2 900.00
114.8864 % /
76.0515 % /
3 550.00
2 350.00
127.8313 % /
76.0515 % /
3 950.00
2 350.00
111.6501 % /
79.2878 % /
3 450.00
2 450.00
124.5951 % /
79.2878 % /
3 850.00
2 450.00
105.1777 % /
80.9059 % /
3 250.00
2 500.00
108.4139 % /
85.7602 % /
3 350.00
2 650.00
100.3233 % /
92.2327 % /
3 100.00
2 850.00
113.2682 % /
92.2327 % /
3 500.00
2 850.00
103.5595 % /
93.8508 % /
3 200.00
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
32.87
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47739
SE4773
0.0100
1 491 000
49 009 170
35.12
17-Aug-16
19-Aug-16
26-Aug-16
DE000SE47747
SE4774
0.0100
1 395 000
48 992 400
31.17
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE47754
SE4775
0.0100
1 572 000
48 999 240
31.20
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE47762
SE4776
0.0100
1 571 000
49 015 200
31.13
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE47770
SE4777
0.0100
1 574 000
48 998 620
32.42
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE47788
SE4778
0.0100
1 511 000
48 986 620
48.89
14-Sep-16
16-Sep-16
23-Sep-16
DE000SE47796
SE4779
0.0100
1 002 000
48 987 780
34.38
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478A3
SE478A
0.0100
1 425 000
48 991 500
37.82
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478B1
SE478B
0.0100
1 296 000
49 014 720
33.31
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478C9
SE478C
0.0100
1 471 000
48 999 010
36.49
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478D7
SE478D
0.0100
1 343 000
49 006 070
31.98
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478E5
SE478E
0.0100
1 532 000
48 993 360
32.03
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478F2
SE478F
0.0100
1 530 000
49 005 900
30.87
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478G0
SE478G
0.0100
1 587 000
48 990 690
31.90
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478H8
SE478H
0.0100
1 536 000
48 998 400
30.93
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478J4
SE478J
0.0100
1 584 000
48 993 120
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
111.6501 % /
93.8508 % /
3 450.00
2 900.00
119.7407 % /
93.8508 % /
3 700.00
2 900.00
129.4494 % /
64.7247 % /
4 000.00
2 000.00
126.2132 % /
66.3428 % /
3 900.00
2 050.00
148.8668 % /
69.5791 % /
4 600.00
2 150.00
121.3588 % /
71.1972 % /
3 750.00
2 200.00
114.8864 % /
72.8153 % /
3 550.00
2 250.00
122.9769 % /
72.8153 % /
3 800.00
2 250.00
111.6501 % /
74.4334 % /
3 450.00
2 300.00
122.9769 % /
74.4334 % /
3 800.00
2 300.00
118.1226 % /
76.0515 % /
3 650.00
2 350.00
113.2682 % /
77.6697 % /
3 500.00
2 400.00
121.3588 % /
79.2878 % /
3 750.00
2 450.00
111.6501 % /
82.5240 % /
3 450.00
2 550.00
124.5951 % /
82.5240 % /
3 850.00
2 550.00
118.1226 % /
85.7602 % /
3 650.00
2 650.00
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
31.48
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478K2
SE478K
0.0100
1 557 000
49 014 360
32.42
19-Oct-16
21-Oct-16
28-Oct-16
DE000SE478L0
SE478L
0.0100
1 511 000
48 986 620
39.09
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478M8
SE478M
0.0100
1 254 000
49 018 860
38.04
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478N6
SE478N
0.0100
1 288 000
48 995 520
44.19
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478P1
SE478P
0.0100
1 109 000
49 006 710
36.26
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478Q9
SE478Q
0.0100
1 351 000
48 987 260
34.43
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478R7
SE478R
0.0100
1 423 000
48 993 890
36.54
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478S5
SE478S
0.0100
1 341 000
49 000 140
33.54
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478T3
SE478T
0.0100
1 461 000
49 001 940
36.35
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478U1
SE478U
0.0100
1 348 000
48 999 800
34.91
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478V9
SE478V
0.0100
1 404 000
49 013 640
33.59
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478W7
SE478W
0.0100
1 459 000
49 007 810
35.28
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478X5
SE478X
0.0100
1 389 000
49 003 920
32.72
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478Y3
SE478Y
0.0100
1 498 000
49 014 560
35.50
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE478Z0
SE478Z
0.0100
1 380 000
48 990 000
33.50
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47804
SE4780
0.0100
1 463 000
49 010 500
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
126.2132 % /
85.7602 % /
3 900.00
2 650.00
111.6501 % /
88.9965 % /
3 450.00
2 750.00
121.3588 % /
88.9965 % /
3 750.00
2 750.00
106.7958 % /
93.8508 % /
3 300.00
2 900.00
113.2682 % /
93.8508 % /
3 500.00
2 900.00
124.5951 % /
93.8508 % /
3 850.00
2 900.00
98.7052 % /
88.9965 % /
3 050.00
2 750.00
101.9414 % /
90.6146 % /
3 150.00
2 800.00
103.5595 % /
93.8508 % /
3 200.00
2 900.00
113.2682 % /
93.8508 % /
3 500.00
2 900.00
122.9769 % /
93.8508 % /
3 800.00
2 900.00
114.8864 % /
63.1066 % /
3 550.00
1 950.00
124.5951 % /
63.1066 % /
3 850.00
1 950.00
110.0320 % /
66.3428 % /
3 400.00
2 050.00
119.7407 % /
66.3428 % /
3 700.00
2 050.00
105.1777 % /
69.5791 % /
3 250.00
2 150.00
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
35.15
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47812
SE4781
0.0100
1 394 000
48 999 100
31.91
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47820
SE4782
0.0100
1 536 000
49 013 760
33.46
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47838
SE4783
0.0100
1 464 000
48 985 440
30.98
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47846
SE4784
0.0100
1 582 000
49 010 360
31.45
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47853
SE4785
0.0100
1 558 000
48 999 100
32.70
16-Nov-16
18-Nov-16
25-Nov-16
DE000SE47861
SE4786
0.0100
1 498 000
48 984 600
30.81
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47879
SE4787
0.0100
1 590 000
48 987 900
30.86
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47887
SE4788
0.0100
1 588 000
49 005 680
30.80
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE47895
SE4789
0.0100
1 591 000
49 002 800
31.27
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE479A1
SE479A
0.0100
1 567 000
49 000 090
32.14
14-Dec-16
16-Dec-16
23-Dec-16
DE000SE479B9
SE479B
0.0100
1 525 000
49 013 500
34.82
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479C7
SE479C
0.0100
1 407 000
48 991 740
37.36
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479D5
SE479D
0.0100
1 312 000
49 016 320
33.53
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479E3
SE479E
0.0100
1 461 000
48 987 330
35.79
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479F0
SE479F
0.0100
1 369 000
48 996 510
32.45
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479G8
SE479G
0.0100
1 510 000
48 999 500
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
111.6501 % /
69.5791 % /
3 450.00
2 150.00
121.3588 % /
69.5791 % /
3 750.00
2 150.00
114.8864 % /
72.8153 % /
3 550.00
2 250.00
124.5951 % /
72.8153 % /
3 850.00
2 250.00
111.6501 % /
76.0515 % /
3 450.00
2 350.00
121.3588 % /
76.0515 % /
3 750.00
2 350.00
108.4139 % /
79.2878 % /
3 350.00
2 450.00
118.1226 % /
79.2878 % /
3 650.00
2 450.00
105.1777 % /
82.5240 % /
3 250.00
2 550.00
121.3588 % /
82.5240 % /
3 750.00
2 550.00
100.3233 % /
85.7602 % /
3 100.00
2 650.00
116.5045 % /
85.7602 % /
3 600.00
2 650.00
101.9414 % /
88.9965 % /
3 150.00
2 750.00
114.8864 % /
88.9965 % /
3 550.00
2 750.00
103.5595 % /
93.8508 % /
3 200.00
2 900.00
116.5045 % /
93.8508 % /
3 600.00
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
33.62
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479H6
SE479H
0.0100
1 457 000
48 984 340
35.89
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479J2
SE479J
0.0100
1 365 000
48 989 850
34.01
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479K0
SE479K
0.0100
1 441 000
49 008 410
36.31
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479L8
SE479L
0.0100
1 349 000
48 982 190
33.02
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479M6
SE479M
0.0100
1 484 000
49 001 680
35.07
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479N4
SE479N
0.0100
1 397 000
48 992 790
32.17
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479P9
SE479P
0.0100
1 523 000
48 994 910
33.89
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479Q7
SE479Q
0.0100
1 446 000
49 004 940
31.49
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479R5
SE479R
0.0100
1 556 000
48 998 440
34.02
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479S3
SE479S
0.0100
1 440 000
48 988 800
30.94
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479T1
SE479T
0.0100
1 584 000
49 008 960
32.61
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479U9
SE479U
0.0100
1 503 000
49 012 830
30.87
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479V7
SE479V
0.0100
1 587 000
48 990 690
31.90
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479W5
SE479W
0.0100
1 536 000
48 998 400
30.76
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479X3
SE479X
0.0100
1 593 000
49 000 680
31.37
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479Y1
SE479Y
0.0100
1 562 000
48 999 940
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 18
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
129.4494 % /
93.8508 % /
4 000.00
2 900.00
124.5951 % /
63.1066 % /
3 850.00
1 950.00
137.5400 % /
63.1066 % /
4 250.00
1 950.00
110.0320 % /
66.3428 % /
3 400.00
2 050.00
126.2132 % /
66.3428 % /
3 900.00
2 050.00
106.7958 % /
69.5791 % /
3 300.00
2 150.00
114.8864 % /
69.5791 % /
3 550.00
2 150.00
129.4494 % /
69.5791 % /
4 000.00
2 150.00
103.5595 % /
72.8153 % /
3 200.00
2 250.00
122.9769 % /
72.8153 % /
3 800.00
2 250.00
101.9414 % /
76.0515 % /
3 150.00
2 350.00
121.3588 % /
76.0515 % /
3 750.00
2 350.00
103.5595 % /
79.2878 % /
3 200.00
2 450.00
118.1226 % /
79.2878 % /
3 650.00
2 450.00
101.9414 % /
82.5240 % /
3 150.00
2 550.00
111.6501 % /
82.5240 % /
3 450.00
2 550.00
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
32.51
18-Jan-17
20-Jan-17
27-Jan-17
DE000SE479Z8
SE479Z
0.0100
1 507 000
48 992 570
37.18
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47903
SE4790
0.0100
1 318 000
49 003 240
40.76
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47911
SE4791
0.0100
1 202 000
48 993 520
33.43
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47929
SE4792
0.0100
1 466 000
49 008 380
37.29
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47937
SE4793
0.0100
1 314 000
48 999 060
32.62
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47945
SE4794
0.0100
1 502 000
48 995 240
34.16
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47952
SE4795
0.0100
1 434 000
48 985 440
37.73
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47960
SE4796
0.0100
1 299 000
49 011 270
31.92
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47978
SE4797
0.0100
1 535 000
48 997 200
35.65
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47986
SE4798
0.0100
1 374 000
48 983 100
31.52
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE47994
SE4799
0.0100
1 555 000
49 013 600
34.81
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AA8
SE48AA
0.0100
1 408 000
49 012 480
31.47
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AB6
SE48AB
0.0100
1 557 000
48 998 790
33.66
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AC4
SE48AC
0.0100
1 456 000
49 008 960
31.12
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AD2
SE48AD
0.0100
1 575 000
49 014 000
32.14
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AE0
SE48AE
0.0100
1 525 000
49 013 500
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 19
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
103.5595 % /
85.7602 % /
3 200.00
2 650.00
116.5045 % /
85.7602 % /
3 600.00
2 650.00
101.9414 % /
88.9965 % /
3 150.00
2 750.00
110.0320 % /
88.9965 % /
3 400.00
2 750.00
105.1777 % /
92.2327 % /
3 250.00
2 850.00
114.8864 % /
92.2327 % /
3 550.00
2 850.00
100.3233 % /
93.8508 % /
3 100.00
2 900.00
106.7958 % /
93.8508 % /
3 300.00
2 900.00
116.5045 % /
93.8508 % /
3 600.00
2 900.00
152.1031 % /
58.2522 % /
4 700.00
1 800.00
142.3944 % /
59.8704 % /
4 400.00
1 850.00
145.6306 % /
61.4885 % /
4 500.00
1 900.00
134.3038 % /
63.1066 % /
4 150.00
1 950.00
142.3944 % /
64.7247 % /
4 400.00
2 000.00
114.8864 % /
66.3428 % /
3 550.00
2 050.00
126.2132 % /
66.3428 % /
3 900.00
2 050.00
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
31.04
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AF7
SE48AF
0.0100
1 579 000
49 012 160
32.40
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AG5
SE48AG
0.0100
1 512 000
48 988 800
30.80
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AH3
SE48AH
0.0100
1 591 000
49 002 800
31.27
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AJ9
SE48AJ
0.0100
1 567 000
49 000 090
30.79
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AK7
SE48AK
0.0100
1 591 000
48 986 890
31.32
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AL5
SE48AL
0.0100
1 564 000
48 984 480
30.65
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AM3
SE48AM
0.0100
1 599 000
49 009 350
30.77
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AN1
SE48AN
0.0100
1 592 000
48 985 840
31.23
15-Feb-17
17-Feb-17
24-Feb-17
DE000SE48AP6
SE48AP
0.0100
1 569 000
48 999 870
45.26
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AQ4
SE48AQ
0.0100
1 083 000
49 016 580
42.30
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AR2
SE48AR
0.0100
1 158 000
48 983 400
43.03
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AS0
SE48AS
0.0100
1 139 000
49 011 170
39.66
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AT8
SE48AT
0.0100
1 236 000
49 019 760
41.68
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AU6
SE48AU
0.0100
1 176 000
49 015 680
34.36
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AV4
SE48AV
0.0100
1 426 000
48 997 360
37.11
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AW2
SE48AW
0.0100
1 320 000
48 985 200
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 20
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
135.9219 % /
66.3428 % /
4 200.00
2 050.00
139.1581 % /
69.5791 % /
4 300.00
2 150.00
145.6306 % /
72.8153 % /
4 500.00
2 250.00
113.2682 % /
92.2327 % /
3 500.00
2 850.00
103.5595 % /
93.8508 % /
3 200.00
2 900.00
111.6501 % /
93.8508 % /
3 450.00
2 900.00
122.9769 % /
93.8508 % /
3 800.00
2 900.00
142.3944 % /
58.2522 % /
4 400.00
1 800.00
155.3393 % /
58.2522 % /
4 800.00
1 800.00
116.5045 % /
61.4885 % /
3 600.00
1 900.00
148.8668 % /
61.4885 % /
4 600.00
1 900.00
126.2132 % /
64.7247 % /
3 900.00
2 000.00
121.3588 % /
67.9609 % /
3 750.00
2 100.00
122.9769 % /
74.4334 % /
3 800.00
2 300.00
135.9219 % /
74.4334 % /
4 200.00
2 300.00
142.3944 % /
77.6697 % /
4 400.00
2 400.00
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
39.68
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AX0
SE48AX
0.0100
1 235 000
49 004 800
40.03
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AY8
SE48AY
0.0100
1 224 000
48 996 720
41.03
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48AZ5
SE48AZ
0.0100
1 194 000
48 989 820
31.14
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48A08
SE48A0
0.0100
1 574 000
49 014 360
30.70
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48A16
SE48A1
0.0100
1 596 000
48 997 200
30.93
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48A24
SE48A2
0.0100
1 584 000
48 993 120
31.61
15-Mar-17
17-Mar-17
24-Mar-17
DE000SE48A32
SE48A3
0.0100
1 550 000
48 995 500
42.27
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48A40
SE48A4
0.0100
1 159 000
48 990 930
45.96
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48A57
SE48A5
0.0100
1 066 000
48 993 360
35.03
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48A65
SE48A6
0.0100
1 399 000
49 006 970
43.69
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48A73
SE48A7
0.0100
1 122 000
49 020 180
37.10
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48A81
SE48A8
0.0100
1 321 000
49 009 100
35.52
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48A99
SE48A9
0.0100
1 380 000
49 017 600
34.99
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BA6
SE48BA
0.0100
1 400 000
48 986 000
37.95
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BB4
SE48BB
0.0100
1 291 000
48 993 450
38.65
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BC2
SE48BC
0.0100
1 268 000
49 008 200
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 21
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
113.2682 % /
80.9059 % /
3 500.00
2 500.00
126.2132 % /
84.1421 % /
3 900.00
2 600.00
135.9219 % /
87.3784 % /
4 200.00
2 700.00
103.5595 % /
93.8508 % /
3 200.00
2 900.00
116.5045 % /
93.8508 % /
3 600.00
2 900.00
129.4494 % /
93.8508 % /
4 000.00
2 900.00
155.3393 % /
58.2522 % /
4 800.00
1 800.00
145.6306 % /
61.4885 % /
4 500.00
1 900.00
152.1031 % /
64.7247 % /
4 700.00
2 000.00
142.3944 % /
67.9609 % /
4 400.00
2 100.00
135.9219 % /
71.1972 % /
4 200.00
2 200.00
148.8668 % /
74.4334 % /
4 600.00
2 300.00
142.3944 % /
80.9059 % /
4 400.00
2 500.00
132.6857 % /
84.1421 % /
4 100.00
2 600.00
103.5595 % /
93.8508 % /
3 200.00
2 900.00
110.0320 % /
93.8508 % /
3 400.00
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
32.30
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BD0
SE48BD
0.0100
1 517 000
48 999 100
33.80
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BE8
SE48BE
0.0100
1 450 000
49 010 000
34.50
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BF5
SE48BF
0.0100
1 420 000
48 990 000
30.62
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BG3
SE48BG
0.0100
1 600 000
48 992 000
31.05
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BH1
SE48BH
0.0100
1 578 000
48 996 900
31.92
19-Apr-17
21-Apr-17
28-Apr-17
DE000SE48BJ7
SE48BJ
0.0100
1 535 000
48 997 200
45.66
17-May-17
19-May-17
26-May-17
DE000SE48BK5
SE48BK
0.0100
1 073 000
48 993 180
42.46
17-May-17
19-May-17
26-May-17
DE000SE48BL3
SE48BL
0.0100
1 154 000
48 998 840
43.67
17-May-17
19-May-17
26-May-17
DE000SE48BM1
SE48BM
0.0100
1 122 000
48 997 740
40.47
17-May-17
19-May-17
26-May-17
DE000SE48BN9
SE48BN
0.0100
1 211 000
49 009 170
38.20
17-May-17
19-May-17
26-May-17
DE000SE48BP4
SE48BP
0.0100
1 283 000
49 010 600
40.52
17-May-17
19-May-17
26-May-17
DE000SE48BQ2
SE48BQ
0.0100
1 209 000
48 988 680
37.15
17-May-17
19-May-17
26-May-17
DE000SE48BR0
SE48BR
0.0100
1 319 000
49 000 850
34.41
17-May-17
19-May-17
26-May-17
DE000SE48BS8
SE48BS
0.0100
1 424 000
48 999 840
30.18
17-May-17
19-May-17
26-May-17
DE000SE48BT6
SE48BT
0.0100
1 624 000
49 012 320
30.34
17-May-17
19-May-17
26-May-17
DE000SE48BU4
SE48BU
0.0100
1 615 000
48 999 100
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 22
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
126.2132 % /
93.8508 % /
3 900.00
2 900.00
137.5400 % /
56.6341 % /
4 250.00
1 750.00
142.3944 % /
58.2522 % /
4 400.00
1 800.00
134.3038 % /
59.8704 % /
4 150.00
1 850.00
145.6306 % /
61.4885 % /
4 500.00
1 900.00
126.2132 % /
63.1066 % /
3 900.00
1 950.00
152.1031 % /
64.7247 % /
4 700.00
2 000.00
105.1777 % /
93.8508 % /
3 250.00
2 900.00
116.5045 % /
93.8508 % /
3 600.00
2 900.00
126.2132 % /
93.8508 % /
3 900.00
2 900.00
122.9769 % /
61.4885 % /
3 800.00
1 900.00
135.9219 % /
61.4885 % /
4 200.00
1 900.00
148.8668 % /
61.4885 % /
4 600.00
1 900.00
116.5045 % /
64.7247 % /
3 600.00
2 000.00
129.4494 % /
64.7247 % /
4 000.00
2 000.00
142.3944 % /
64.7247 % /
4 400.00
2 000.00
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
31.21
17-May-17
19-May-17
26-May-17
DE000SE48BV2
SE48BV
0.0100
1 570 000
48 999 700
40.59
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48BW0
SE48BW
0.0100
1 207 000
48 992 130
41.74
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48BX8
SE48BX
0.0100
1 174 000
49 002 760
39.31
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48BY6
SE48BY
0.0100
1 247 000
49 019 570
42.15
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48BZ3
SE48BZ
0.0100
1 163 000
49 020 450
36.77
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48B07
SE48B0
0.0100
1 333 000
49 014 410
43.29
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48B15
SE48B1
0.0100
1 132 000
49 004 280
30.01
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48B23
SE48B2
0.0100
1 633 000
49 006 330
30.38
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48B31
SE48B3
0.0100
1 613 000
49 002 940
30.93
14-Jun-17
16-Jun-17
23-Jun-17
DE000SE48B49
SE48B4
0.0100
1 584 000
48 993 120
35.97
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48B56
SE48B5
0.0100
1 362 000
48 991 140
39.27
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48B64
SE48B6
0.0100
1 248 000
49 008 960
42.71
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48B72
SE48B7
0.0100
1 147 000
48 988 370
34.12
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48B80
SE48B8
0.0100
1 436 000
48 996 320
37.12
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48B98
SE48B9
0.0100
1 320 000
48 998 400
40.40
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CA4
SE48CA
0.0100
1 213 000
49 005 200
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 23
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
113.2682 % /
67.9609 % /
3 500.00
2 100.00
126.2132 % /
67.9609 % /
3 900.00
2 100.00
135.9219 % /
67.9609 % /
4 200.00
2 100.00
110.0320 % /
71.1972 % /
3 400.00
2 200.00
119.7407 % /
71.1972 % /
3 700.00
2 200.00
129.4494 % /
71.1972 % /
4 000.00
2 200.00
113.2682 % /
74.4334 % /
3 500.00
2 300.00
122.9769 % /
74.4334 % /
3 800.00
2 300.00
135.9219 % /
74.4334 % /
4 200.00
2 300.00
106.7958 % /
77.6697 % /
3 300.00
2 400.00
116.5045 % /
77.6697 % /
3 600.00
2 400.00
126.2132 % /
77.6697 % /
3 900.00
2 400.00
110.0320 % /
80.9059 % /
3 400.00
2 500.00
119.7407 % /
80.9059 % /
3 700.00
2 500.00
129.4494 % /
80.9059 % /
4 000.00
2 500.00
103.5595 % /
84.1421 % /
3 200.00
2 600.00
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
33.10
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CB2
SE48CB
0.0100
1 480 000
48 988 000
35.84
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CC0
SE48CC
0.0100
1 367 000
48 993 280
38.15
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CD8
SE48CD
0.0100
1 284 000
48 984 600
32.19
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CE6
SE48CE
0.0100
1 522 000
48 993 180
33.94
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CF3
SE48CF
0.0100
1 444 000
49 009 360
36.02
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CG1
SE48CG
0.0100
1 360 000
48 987 200
32.32
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CH9
SE48CH
0.0100
1 516 000
48 997 120
34.07
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CJ5
SE48CJ
0.0100
1 438 000
48 992 660
36.76
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CK3
SE48CK
0.0100
1 333 000
49 001 080
31.09
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CL1
SE48CL
0.0100
1 576 000
48 997 840
32.39
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CM9
SE48CM
0.0100
1 513 000
49 006 070
34.08
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CN7
SE48CN
0.0100
1 438 000
49 007 040
31.12
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CP2
SE48CP
0.0100
1 575 000
49 014 000
32.39
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CQ0
SE48CQ
0.0100
1 513 000
49 006 070
33.96
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CR8
SE48CR
0.0100
1 443 000
49 004 280
30.31
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CS6
SE48CS
0.0100
1 617 000
49 011 270
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 24
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
116.5045 % /
84.1421 % /
3 600.00
2 600.00
100.3233 % /
87.3784 % /
3 100.00
2 700.00
110.0320 % /
87.3784 % /
3 400.00
2 700.00
122.9769 % /
87.3784 % /
3 800.00
2 700.00
103.5595 % /
90.6146 % /
3 200.00
2 800.00
113.2682 % /
90.6146 % /
3 500.00
2 800.00
126.2132 % /
90.6146 % /
3 900.00
2 800.00
145.6306 % /
55.0160 % /
4 500.00
1 700.00
121.3588 % /
56.6341 % /
3 750.00
1 750.00
137.5400 % /
56.6341 % /
4 250.00
1 750.00
153.7212 % /
56.6341 % /
4 750.00
1 750.00
142.3944 % /
58.2522 % /
4 400.00
1 800.00
108.4139 % /
59.8704 % /
3 350.00
1 850.00
118.1226 % /
59.8704 % /
3 650.00
1 850.00
129.4494 % /
59.8704 % /
4 000.00
1 850.00
106.7958 % /
63.1066 % /
3 300.00
1 950.00
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
31.45
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CT4
SE48CT
0.0100
1 558 000
48 999 100
30.03
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CU2
SE48CU
0.0100
1 632 000
49 008 960
30.49
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CV0
SE48CV
0.0100
1 607 000
48 997 430
31.67
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CW8
SE48CW
0.0100
1 547 000
48 993 490
30.01
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CX6
SE48CX
0.0100
1 633 000
49 006 330
30.41
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CY4
SE48CY
0.0100
1 611 000
48 990 510
31.38
19-Jul-17
21-Jul-17
28-Jul-17
DE000SE48CZ1
SE48CZ
0.0100
1 562 000
49 015 560
42.48
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C06
SE48C0
0.0100
1 153 000
48 979 440
35.90
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C14
SE48C1
0.0100
1 365 000
49 003 500
40.05
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C22
SE48C2
0.0100
1 223 000
48 981 150
44.45
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C30
SE48C3
0.0100
1 102 000
48 983 900
41.11
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C48
SE48C4
0.0100
1 192 000
49 003 120
32.88
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C55
SE48C5
0.0100
1 490 000
48 991 200
34.81
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C63
SE48C6
0.0100
1 408 000
49 012 480
37.50
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C71
SE48C7
0.0100
1 307 000
49 012 500
32.32
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C89
SE48C8
0.0100
1 516 000
48 997 120
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 25
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
127.8313 % /
63.1066 % /
3 950.00
1 950.00
142.3944 % /
63.1066 % /
4 400.00
1 950.00
135.9219 % /
64.7247 % /
4 200.00
2 000.00
101.9414 % /
66.3428 % /
3 150.00
2 050.00
110.0320 % /
66.3428 % /
3 400.00
2 050.00
126.2132 % /
66.3428 % /
3 900.00
2 050.00
98.7052 % /
69.5791 % /
3 050.00
2 150.00
110.0320 % /
69.5791 % /
3 400.00
2 150.00
106.7958 % /
72.8153 % /
3 300.00
2 250.00
124.5951 % /
72.8153 % /
3 850.00
2 250.00
98.7052 % /
76.0515 % /
3 050.00
2 350.00
108.4139 % /
76.0515 % /
3 350.00
2 350.00
127.8313 % /
76.0515 % /
3 950.00
2 350.00
100.3233 % /
79.2878 % /
3 100.00
2 450.00
108.4139 % /
79.2878 % /
3 350.00
2 450.00
127.8313 % /
79.2878 % /
3 950.00
2 450.00
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
36.63
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48C97
SE48C9
0.0100
1 338 000
49 010 940
40.25
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DA2
SE48DA
0.0100
1 217 000
48 984 250
38.33
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DB0
SE48DB
0.0100
1 278 000
48 985 740
31.38
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DC8
SE48DC
0.0100
1 562 000
49 015 560
32.53
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DD6
SE48DD
0.0100
1 506 000
48 990 180
35.75
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DE4
SE48DE
0.0100
1 371 000
49 013 250
30.81
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DF1
SE48DF
0.0100
1 590 000
48 987 900
32.19
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DG9
SE48DG
0.0100
1 522 000
48 993 180
31.41
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DH7
SE48DH
0.0100
1 560 000
48 999 600
34.32
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DJ3
SE48DJ
0.0100
1 428 000
49 008 960
30.41
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DK1
SE48DK
0.0100
1 611 000
48 990 510
31.28
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DL9
SE48DL
0.0100
1 566 000
48 984 480
34.32
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DM7
SE48DM
0.0100
1 428 000
49 008 960
30.32
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DN5
SE48DN
0.0100
1 616 000
48 997 120
30.96
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DP0
SE48DP
0.0100
1 583 000
49 009 680
33.64
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DQ8
SE48DQ
0.0100
1 457 000
49 013 480
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 26
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
105.1777 % /
82.5240 % /
3 250.00
2 550.00
110.0320 % /
82.5240 % /
3 400.00
2 550.00
127.8313 % /
82.5240 % /
3 950.00
2 550.00
98.7052 % /
85.7602 % /
3 050.00
2 650.00
106.7958 % /
85.7602 % /
3 300.00
2 650.00
121.3588 % /
85.7602 % /
3 750.00
2 650.00
101.9414 % /
88.9965 % /
3 150.00
2 750.00
116.5045 % /
88.9965 % /
3 600.00
2 750.00
126.2132 % /
88.9965 % /
3 900.00
2 750.00
105.1777 % /
92.2327 % /
3 250.00
2 850.00
114.8864 % /
92.2327 % /
3 550.00
2 850.00
132.6857 % /
92.2327 % /
4 100.00
2 850.00
106.7958 % /
93.8508 % /
3 300.00
2 900.00
116.5045 % /
93.8508 % /
3 600.00
2 900.00
126.2132 % /
93.8508 % /
3 900.00
2 900.00
116.5045 % /
56.6341 % /
3 600.00
1 750.00
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
30.43
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DR6
SE48DR
0.0100
1 610 000
48 992 300
30.80
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DS4
SE48DS
0.0100
1 591 000
49 002 800
32.95
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DT2
SE48DT
0.0100
1 487 000
48 996 650
29.98
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DU0
SE48DU
0.0100
1 634 000
48 987 320
30.30
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DV8
SE48DV
0.0100
1 617 000
48 995 100
31.51
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DW6
SE48DW
0.0100
1 555 000
48 998 050
29.97
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DX4
SE48DX
0.0100
1 635 000
49 000 950
30.64
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DY2
SE48DY
0.0100
1 599 000
48 993 360
31.44
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48DZ9
SE48DZ
0.0100
1 559 000
49 014 960
29.95
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48D05
SE48D0
0.0100
1 636 000
48 998 200
30.25
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48D13
SE48D1
0.0100
1 620 000
49 005 000
31.32
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48D21
SE48D2
0.0100
1 564 000
48 984 480
29.94
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48D39
SE48D3
0.0100
1 637 000
49 011 780
30.19
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48D47
SE48D4
0.0100
1 623 000
48 998 370
30.61
13-Sep-17
15-Sep-17
22-Sep-17
DE000SE48D54
SE48D5
0.0100
1 601 000
49 006 610
34.52
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48D62
SE48D6
0.0100
1 419 000
48 983 880
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 27
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
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
126.2132 % /
56.6341 % /
3 900.00
1 750.00
137.5400 % /
56.6341 % /
4 250.00
1 750.00
110.0320 % /
59.8704 % /
3 400.00
1 850.00
132.6857 % /
59.8704 % /
4 100.00
1 850.00
148.8668 % /
59.8704 % /
4 600.00
1 850.00
106.7958 % /
63.1066 % /
3 300.00
1 950.00
126.2132 % /
63.1066 % /
3 900.00
1 950.00
145.6306 % /
63.1066 % /
4 500.00
1 950.00
108.4139 % /
66.3428 % /
3 350.00
2 050.00
118.1226 % /
66.3428 % /
3 650.00
2 050.00
127.8313 % /
66.3428 % /
3 950.00
2 050.00
140.7762 % /
66.3428 % /
4 350.00
2 050.00
111.6501 % /
82.5240 % /
3 450.00
2 550.00
124.5951 % /
82.5240 % /
3 850.00
2 550.00
132.6857 % /
82.5240 % /
4 100.00
2 550.00
152.1031 % /
87.3784 % /
4 700.00
2 700.00
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
36.69
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48D70
SE48D7
0.0100
1 336 000
49 017 840
39.51
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48D88
SE48D8
0.0100
1 240 000
48 992 400
32.94
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48D96
SE48D9
0.0100
1 488 000
49 014 720
37.77
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EA0
SE48EA
0.0100
1 297 000
48 987 690
41.83
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EB8
SE48EB
0.0100
1 171 000
48 982 930
32.10
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EC6
SE48EC
0.0100
1 526 000
48 984 600
35.75
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48ED4
SE48ED
0.0100
1 371 000
49 013 250
40.32
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EE2
SE48EE
0.0100
1 215 000
48 988 800
32.02
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EF9
SE48EF
0.0100
1 530 000
48 990 600
33.63
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EG7
SE48EG
0.0100
1 457 000
48 998 910
35.56
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EH5
SE48EH
0.0100
1 378 000
49 001 680
38.44
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EJ1
SE48EJ
0.0100
1 275 000
49 011 000
30.67
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EK9
SE48EK
0.0100
1 598 000
49 010 660
31.99
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EL7
SE48EL
0.0100
1 532 000
49 008 680
33.03
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EM5
SE48EM
0.0100
1 483 000
48 983 490
34.00
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EN3
SE48EN
0.0100
1 441 000
48 994 000
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 28
Underlying
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
Spot in Index Points
FX
Initial
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
3 090.010 EUR
1.0000
Bonus Level in % /
Barrier in % /
Bonus Level
Barrier
113.2682 % /
88.9965 % /
3 500.00
2 750.00
137.5400 % /
88.9965 % /
4 250.00
2 750.00
145.6306 % /
90.6146 % /
4 500.00
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
30.20
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EP8
SE48EP
0.0100
1 623 000
49 014 600
32.00
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48EQ6
SE48EQ
0.0100
1 531 000
48 992 000
32.26
13-Dec-17
15-Dec-17
22-Dec-17
DE000SE48ER4
SE48ER
0.0100
1 519 000
49 002 940
Neither the information nor any opinion expressed in this document is intended to be an offer to buy or sell securities or options or futures contracts. The information and opinions contained herein have been compiled from or arrived at in good faith from sources believed to be reliable. No representation of
warranty, express or implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information contained herein implied, is made by Société Générale or any other member of the SG Group as to the accuracy or completeness of the information
contained herein.
This Information does neither constitute a (sales) prospectus pursuant to civil law nor a prospectus pursuant to the Securities Prospectus Act (Wertpapierprospektgesetz) and may not be construed this way.
The only legally binding and prevailing information is contained in the published base prospectus including any supplements thereto and in the final terms filed with Bundesanstalt für Finanzdienstleistungsaufsicht.
The base prospectus, any supplements thereto and the final terms are available at Société Générale S.A., branch Frankfurt am Main, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main. Phone: +4969/7174663.
Furthermore, the base any supplements thereto and the final terms are available on the Société Générale internet page http://www.sg-zertifikate.de.
Société Générale can pay remunerations of up to 2.00% to distributors for certain products on the basis of performed advisory and distribution services. Further information in respect of the remunerations may be provided by Société Générale to its own clients upon request.
The Notes described herein may not be legally or beneficially owned at any time by any U.S. Person (as defined in Regulation S) and accordingly are being offered and sold outside the United States to persons that are not U.S. Persons in reliance on Regulation S. By its purchase of a Note, each purchaser
will be deemed or required, as the case may be, to have agreed that it may not resell or otherwise transfer any Note held by it except outside the United States in an offshore transaction to a person that is not a U.S. Person.
Page: 29