27 Nov 2020 07:00
NOTICE TO THE WARRANTHOLDERS
dated 27 NOVEMBER 2020
Notice of INFORMATION RELATING TO THE substitution of the issuer
We refer to each issue of warrants (the "Warrants") issued by SGA Societe Generale Acceptance N.V. (the "Old Issuer") and the corresponding final terms of such Warrants (the "Final Terms") as set out in more detail in the Annex hereto and the respective terms and conditions of such Warrants (the "Terms and Conditions").
This Notice should be read in conjunction with the Terms and Conditions and the Final Terms of the Warrants. Terms and expressions defined in the Final Terms shall have the same meanings when used herein except where the context requires otherwise or unless otherwise stated.
We hereby confirm that, in accordance with Condition 12 of Terms and Conditions, SG Issuer (the "New Issuer") shall be substituted in the rights and obligations of SGA Société Générale Acceptance N.V. as issuer of the Warrants with effect from 27 November 2020.
SG Issuer as the New Issuer accepts full responsibility for the information contained in this Notice.
COMPUTERSHARE INVESTOR SERVICES PLC
The Pavilions
Bridgwater Road
Bristol BS13 8AE
United Kingdom
ANNEX
The Warrants
Issue Date | Date of Final Terms | Expiration Date | ISIN Code |
27 February 2015 | 27 February 2015 | 19 February 2021 | CWN8142T2774 |