General meeting of Convertible bondholders 2019 Second Notice to be held on July 6, 2017

CONVERTIBLE BONDS (OCEANE) 2019

CONVENING NOTICE Second notice to the general meeting of the holders of bonds convertible into and or exchangeable for new or existing shares issued by the Company on 20 November 2012 for a principal amount of €359,999,979.30 with 1.25% annual interest rate and maturing on 1st January 2019
(ISIN Code: FR 0011357664) (the « Bonds »)
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REPORT OF THE REPRESENTATIVE OF THE MASSE to the general meeting of the holders of bonds convertible into and or exchangeable for new or existing shares issued by the Company on 20 November 2012 for a principal amount of €359,999,979.30 with 1.25% annual interest rate and maturing on 1st January 2019 (ISIN Code: FR 0011357664) (the « Bonds »)
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Voting form (OCEANE 2019)
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