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Fri 4 Oct 2019, 8:59 Interest Rates
Interest Rates: 
SG Issuer ("the Issuer")
Incorporated in Luxembourg

JSE Code: SGI004                 JSE Code: SGI005                 JSE Code: SGI006
ISIN: ZAG000132218               ISIN: ZAG000135104               ISIN: ZAG000145202

With reference to the            With reference to the            With reference to the
ZAR 40 000 000 Credit Linked     ZAR 25,000,000 Credit Linked     ZAR 60,000,000 Credit Linked
Notes in issue under the Debt    Notes in issue under the Debt    Notes Credit Linked Notes in
Instruments Issuance             Instruments Issuance             issue under the Debt
Programme                        Programme                        Instruments Issuance

(collectively, "Notes")
Unconditionally and irrevocably guaranteed by Societe Generale ("the Guarantor")

INTEREST RATES

The interest payable on the Notes is based on the 3-month JIBAR rate ("JIBAR") with interest being
paid every 3 months. Accordingly, the following payments will be made as set out below:

Notes                   Interest determination          Interest amount         Interest payment
                                         dates             payable (per                    dates
                                                          denomination)
                                                                    ZAR
SG1004                             10 July 2019               31 549.70          10 October 2019
SG1005                             10 July 2019               15 774.85          10 October 2019
SG1006                             11 July 2019               14 503.23          11 October 2019


4 October 2019

Debt Sponsor
Questco Corporate Advisory (Pty) Ltd

Date: 04/10/2019 08:59:00
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