Amendment to the liquidity contractLiquidity Contract • May 22nd, 2015
Contract Type FiledMay 22nd, 2015Amendment to the liquidity contract signed on 22nd August 2011 between Rothschild & Cie Banque and Société Générale: under article 12, and to enable Rothschild & Cie Banque to ensure continuity of its operations under this agreement, Société Générale decided to make a partial recovery means of EUR 143M, bringing the current means to EUR 50M.