Format: Senior Unsecured, Reg S (Category 2), Bearer Dematerialised
Settlement Date: 30-Jun-26 (T+4)
Maturity Date: 30-Jun-36 (10y)
Issue Size: €600m
Launched: MS+122bp
Coupon: Fixed, Annual, Act/Act (ICMA)
Use of Proceeds: The net proceeds of the issue of the Notes will be used to finance or refinance, in whole or in part, existing or future Eligible Green Projects, as defined in the relevant Final Terms and described in the Issuer’s Green Financing Framework (as amended and supplemented from time to time)
ESG Information: The Green Financing Framework 2025 and SPO are available on the Issuer’s website (https://www.suez.com/en/group/finance/green-framework-2025) The Green Financing Framework does not form part of the Base Prospectus or the Final Terms.
Documentation: EMTN Programme dated 22-May-26 / French Law / Euronext Paris / MWC (OAT) / Change of Control / Clean-Up Call 75% / 3m Par Call / €100k + €100k
Global Coordinators: Natixis, NatWest (B&D), Société Générale
Other Bookrunners: ING, MUFG
ESG structurer: Natixis
Target Market: Manufacturer target market is eligible counterparties and professional investors (all distribution channels). No EEA PRIIPs key information document (KID), no disclosure document under the DISC or CCI product summary has been prepared as not available to retail in EEA or the UK.