BONDS REDEMPTION AT THE OPTION OF THE ISSUER

SANOFI

Société anonyme au capital de €2,526,866,030 euros Siège social : 54, Rue La Boétie, 75008 Paris, France (the « Issuer »)

Notice of Early Redemption to the holders of

ISIN Code: FR0013409836

€850,000,000 0.000 per cent. Notes due 21 March 2022 (the "Notes")

Notice is hereby given that, pursuant to Condition 7(c) of the Terms and Conditions of the Base Prospectus dated 12 March 2019, which obtained Visa 19-093 from the AMF, and its supplement dated 28 November 2019, the Issuer will redeem the Notes on 21 February 2022 (the "Optional Redemption Date").

The delisting of the Bonds will take place on 21 February 2022.

The redemption price per Bond will be equal to the Optional Redemption Amount(s) as specified in the relevant Final Terms ("EUR 100,000 per Note of Specified Denomination").

Duly represented by Olivier Klaric, Senior Vice President Financing, Treasury and Insurance:

Signed in Paris on 21 January 2022

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Sanofi SA published this content on 21 January 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 January 2022 15:22:01 UTC.