SOCIETE GENERALE TO ISSUE SIX NEW WARRANTS. THE ISSUE INCLUDES WARRANTS ON EUR/JPY EXCHANGE RATE, EUR/USD EXCHANGE RATE AND USD/JPY EXCHANGE RATE


SOCIETE GENERALE 		STOCK EXCHANGE RELEASE 25 MAY 2009
	
SOCIETE GENERALE TO ISSUE SIX NEW WARRANTS. THE ISSUE INCLUDES 
WARRANTS ON EUR/JPY EXCHANGE RATE, EUR/USD EXCHANGE RATE AND USD/JPY EXCHANGE
RATE. 

Societe Generale, one of the leading issuers of covered warrants 
worldwide, issues a total of six new European warrants on the 
Helsinki Stock Exchange (HEX). The warrants will be subject to public 
trading on the HEX Exchange List as of 26 May 2009.

The underlying assets of the warrants will be EUR/JPY exchange rate, EUR/USD
exchange rate and USD/JPY exchange rate. The issue includes three Call warrants
and three Put warrants. 

The warrants will be issued under the Societe Generale warrant program. 
The Listing Particulars of the warrant program approved by the Finnish 
Financial Supervision Authority on 22 July 2008 and consisting of the Base 
Prospectus, the Supplements approved by the Finnish Financial Supervision 
Authority on 27 August 2008, 18 November 2008, 25 February 2009, 7 April 2009,
16 April 2009, 11 May 2009 and 25 May 2009 and the Final Terms relating to the
warrants to be issued are available as of 25 May 2009 at the Societe Generale 
website at www.sglistedproducts.fi, at the office of the HEX at 
Fabianinkatu 14, Helsinki and at the office of the Paying agent at Nordea 
Bank Finland Plc at Aleksis Kiven katu 3-5, Helsinki.

For further information, please contact Veli-Matti Valkama on 
+44 (0)20 7762 5676, or visit the Société Générale Listed Products
website on www.sglistedproducts.fi.


Listing Date                     26.5.2009
Underlying                       EUR/JPY
Type                             European Call Warrant
Strike                           140
Last trading date                11.12.09
Parity (per 1 Underlying)        0.1
Trading code                     9LJPYEW140
ISIN code                        FR0010750794


Listing Date                     26.5.2009
Underlying                       EUR/JPY
Type                             European Put Warrant
Strike                           120
Last trading date                11.12.09
Parity (per 1 Underlying)        0.1
Trading code                     9YJPYEW120
ISIN code                        FR0010750802


Listing Date                     26.5.2009
Underlying                       EUR/USD
Type                             European Call Warrant
Strike                           1.40
Last trading date                11.12.09
Parity (per 1 Underlying)        0.1
Trading code                     9LUSDEW140
ISIN code                        FR0010750810


Listing Date                     26.5.2009
Underlying                       EUR/USD
Type                             European Put Warrant
Strike                           1.25
Last trading date                11.12.09
Parity (per 1 Underlying)        0.1
Trading code                     9YUSDEW125
ISIN code                        FR0010750828


Listing Date                     26.5.2009
Underlying                       USD/JPY
Type                             European Call Warrant
Strike                           100
Last trading date                11.12.09
Parity (per 1 Underlying)        0.1
Trading code                     9LUDYEW100
ISIN code                        FR0010750836


Listing Date                     26.5.2009
Underlying                       USD/JPY
Type                             European Put Warrant
Strike                           90
Last trading date                11.12.09
Parity (per 1 Underlying)        0.1
Trading code                     9YUDYEW900
ISIN code                        FR0010750844