TIDM62JK TIDM62JK TIDMIRSH

RNS Number : 7234K

SG Issuer

03 September 2021

SUPPLEMENT DATED 3 SEPTEMBER 2021

IN RESPECT OF

THE SERIES 00014UK/21.9 FINAL TERMS DATED 16 JULY 2021

AND

THE SERIES 00015UK/21.9 FINAL TERMS DATED 16 JULY 2021

SG Issuer

as Issuer

   Issue of up to GBP 5,000,000   Notes   due 17 September 2031 

Unconditionally and irrevocably guaranteed by Société Générale

under the

Securities Issuance Programme

ISIN : GB00BKG6ZM84

Series : 00014UK/21.9

AND

   Issue of up to GBP 5,000,000   Notes   due 17 September 2031 

Unconditionally and irrevocably guaranteed by Société Générale

under the

Securities Issuance Programme

ISIN : GB00BKG6ZN91

Series : 00015UK/21.9

This Supplement (the Supplement) to the Base Prospectus dated 4 June 2021 (the Prospectus) which comprises a base prospectus for the purposes of the UK Prospectus Regulation constitutes a supplement to the Prospectus for the purposes of Article 23 of the UK Prospectus Regulation and is prepared in connection with the Securities Issuance Programme (the Programme) established by SG Issuer (the Issuer) and Societe Generale and guaranteed by Societe Generale (the Guarantor).

Terms defined in the Prospectus have the same meaning when used in this Supplement. When used in this Supplement, UK Prospectus Regulation means Regulation (EU) 2017/1129 as it forms part of domestic law by virtue of the European Union (Withdrawal) Act 2018 (EUWA).

This Supplement is supplemental to, and should be read in conjunction with, the Prospectus and all documents which are incorporated therein by reference.

This Supplement has been approved by the United Kingdom Financial Conduct Authority (the FCA) as competent authority under the UK Prospectus Regulation as a supplement to the Prospectus. The FCA only approves this Supplement as meeting the standards of completeness, comprehensibility and consistency imposed by the UK Prospectus Regulation. Approval by the FCA should not be considered as an endorsement of the Issuer or the Guarantor or of the quality of the Notes which are the subject of this Supplement. Investors should make their own assessment as to the suitability of investing in the Notes.

Each of the Issuer and the Guarantor accepts responsibility for the information contained in this Supplement. To the best of the knowledge of each of the Issuer and the Guarantor, the information contained in this Supplement is in accordance with the facts and this Supplement makes no omission likely to affect the import of such information.

The purpose of this Supplement is to correct a mistake in (i) the Final Terms dated 16 July 2021 in respect of Series 00014UK/21.9 (ISIN: GB00BKG6ZM84) (the Series 00014UK/21.9 Final Terms) and (ii) the Final Terms dated 16 July 2021 in respect of Series 00015UK/21.9 (ISIN: GB00BKG6ZN91) (the Series 00015UK/21.9 Final Terms).

This Supplement completes the Prospectus only with respect to the Series 00014UK/21.9 Notes and the Series 00015UK/21.9 Notes, and modifies only the information contained in each of the Series 00014UK/21.9 Final Terms and the Series 00015UK/21.9 Final Terms, as set out below.

The text which appears on page 4 of the Series 00014UK/21.9 Final Terms under the heading "Provisions Relating to Redemption", in paragraph 19(iii) (Automatic Early Redemption Event) is incorrect and shall be amended as follows:

 
(iii)  Automatic Early Redemption  is deemed to have occurred, as determined 
        Event:                      by the Calculation Agent, if on a 
                                    Valuation Date(i) (i from 12 to 39), 
                                    Performance(i) is higher than or 
                                    equal to 0% 10% 
 

The text which appears on page 4 of the Series 00015UK/21.9 Final Terms under the heading "Provisions Relating to Redemption", in paragraph 19(iii) (Automatic Early Redemption Event) is incorrect and shall be amended as follows:

 
(iii)  Automatic Early Redemption  is deemed to have occurred, as determined 
        Event:                      by the Calculation Agent, if on a 
                                    Valuation Date(i) (i from 12 to 39), 
                                    Performance(i) is higher than or 
                                    equal to 0% 10% 
 

In respect of each Series an amended and restated Final Terms has been prepared and filed with the FCA. Such amended and restated Final Terms are each available on the website of the Issuer at http://prospectus.socgen.com .

To the extent that there is any inconsistency between (a) any statement in this Supplement and (b) any other statement in or incorporated by reference in the Prospectus, the statements in (a) above will prevail.

Save as disclosed in this Supplement, there has been no other significant new factor, material mistake or material inaccuracy relating to information included in the Prospectus since the publication of the Prospectus.

No person has been authorised by the Issuer, the Guarantor or any Dealer to give any information or to make any representation not consistent with the Prospectus, this Supplement or any other document entered into in relation to the Programme or any information supplied by the Issuer or such other information as is in the public domain and, if given or made, such information or representation should not be relied upon as having been authorised by the Issuer, the Guarantor or any Dealer.

The delivery of the Prospectus and/or this Supplement at any time does not imply that there has been no change in the affairs of the Issuer or the Guarantor since the date hereof, or that the information contained in either of them is correct as at any time subsequent to each of their respective dates.

In accordance with Article 23(2) of the UK Prospectus Regulation, investors who have agreed to purchase or subscribe for Notes issued under the Series 00014UK/21.9 Final Terms or the Series 00015UK/21.9 Final Terms before this Supplement is published have the right, exercisable before the end of the period of three working days beginning with the working day after the date on which this Supplement was published, to withdraw their acceptances. This right to withdraw shall expire by close of business on 9 September 2021. Investors can exercise their right to withdraw their acceptances by contacting the Issuer or the person from whom any such investor has agreed to purchase or subscribe for such Notes before the above deadline.

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

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END

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September 03, 2021 08:41 ET (12:41 GMT)

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