NOTICE TO THE NOTEHOLDERS
(As of 27 Januray 2022)
Société Générale
Legal entity identifier (LEI): O2RNE8IBXP4R0TD8PU41
Issue of up to EUR 50 000 000 Notes due 01/02/2027
under the
Debt Instruments Issuance Programme
Series 214866EN/21.4
Tranche 1
(the « Notes »)
ISIN CODE: XS2347909439
Information is hereby given to the holders of the above-mentioned Notes that the definitive Aggregate Nominal Amount is EUR 5 827 000.
For further information, Noteholders shall refer to the Final Terms dated 11 November 2021.
THE AGENT
SOCIETE GENERALE LUXEMBOURG S.A.
11 Avenue Emile Reuter
L-2420 LUXEMBOURG
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Société Générale SA published this content on 27 January 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 27 January 2022 15:10:59 UTC.