Liquidity Contract

SES has established with Rothschild & Cie Banque, an investment services institution, a liquidity contract that abides with the code of conduct set out by the French Association of Financial Markets and ratified by the AMF (l'Autorité des Marchés Financiers) on the 1st of March 2011.

This liquidity contract starts on 1st of August 2013. For further information, please refer to the announcement made to the AMF (in French).