Full Redemption Notification
SG Issuer (“the Issuer”)
Incorporated in Luxembourg
JSE Code: SGI005
ISIN: ZAG000135104
NOTE: THIS ANNOUNCEMENT APPLIES TO SGI005
Redemption of ZAR 25 000 000 Credit Linked Notes due on 10/07/2021
Under the Debt Instruments Issuance Programme (“the Programme”)
Unconditionally and irrevocably guaranteed by Société Générale (“the Guarantor”)
FULL REDEMPTION NOTIFICATION
Noteholders are advised, in accordance with the Final Terms of the Credit Linked Notes with JSE Code
SGI005 (“the Notes”) as supplemented by the JSE Placement Document, which document incorporates
the Base Prospectus and the Additional South African Note Conditions, of the full redemption of the
Notes in accordance with the terms of the Notes as set out below.
Number of Notes 50
Specified Denomination ZAR 500 000
Total Redemption Amount ZAR 25 000 000
Last day to register 17h00 on 29 June 2021
Book closed period 30 June 2021 to 9 July 2021
Maturity date 10 July 2021
Redemption Payment Date 12 July 2021
Termination of listing 12 July 2021
For and on behalf of SG ISSUER
21 July 2021
Debt Sponsor
Questco (Pty) Ltd
Date: 21-07-2021 03:43:00
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