Cegedim: Summary of the liquidity contract as of June 30,

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Cegedim: Summary of the liquidity contract as of June 30, 2017

Boulogne Billancourt, July 5 th , 2017

Half-yearly summary of the liquidity contract of CEGEDIM

In respect of the liquidity contract granted by Cegedim to Kepler Capital Markets SA; on June 30 th , 2017; the following resources were recorded in the liquidity account:

            Number of shares:     9 000             Cash:                          €142 803.94

Note that at the time of the last half-yearly summary on December 31 th , 2016; the following resources were recorded in the liquidity account:

            Number of shares:     11,577             Cash:                          €61,634.06

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