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Commentary & Deal Flow

UPDATE: Société Générale Min CHF 200m 7NC6 SNP; Spread set at SARON MS+103bp

IGC European Market: Deal Flow - General

Issuer

Term

Call

Maturity

Size

Ranking

Type

IPT

Guidance

Spread Set

Société Générale

7NC6

6y

15-Jul-33

Min CHF 200m

SNP

Fixed

SARON MS+105a

SARON MS+103/105

SARON MS+103


Spread set at: 7NC6: SARON MS+103bp - New min size CHF 200m
Guidance: 7NC6: SARON MS+103/105bp
IPTs: 7NC6: SARON MS+105a


  • Issuer: Société Générale S.A. (Ticker: SOCGEN)
  • Issuer Domicile: France
  • Format: Public Fixed Rate Notes
  • Status: Senior Non-Preferred
  • Issuer Rating: A1/A/A+ (Moody's/S&P/Fitch)
  • Instrument Rating (exp): Baa2/BBB/A- (Moody's/S&P/Fitch)
  • Sustainability Rating: MSCI: AAA Sustainalytics Risk Score: 13.2 ISS ESG: C+ CDP: A
  • Issue Size: min. CHF 200m
  • Settlement Date: 15-Jul-26
  • Optional Redemption Date: 15-Jul-32
  • Maturity Date: 15-Jul-33
  • Coupon: 1.38% p.a. (indicative)
  • Spread/Yield: SARON MS+103bp
  • Lead Manager(s): Commerzbank, UBS
  • SNB Repo-eligibility: At the discretion of the SNB, expected no
  • Documentation: Under the Issuer’s Euro Medium Term Note Paris Registered Programme, as supplemented
  • FinSA Prospectus: Base prospectus as supplemented recognised by SIX Exchange Reg. Only Final Terms will need to be deposited with the SIX Prospectus Office.
  • Governing Law: French Law
  • Covenants: PP
  • SIX Listing: 13-Jul-26
  • Denomination: CHF 200,000 and multiples thereof
  • Sales Restrictions: As per the Euro Medium Term Note Paris Registered Programme
  • Target Market: Manufacturer target market (MiFID product governance) is eligible counterparties and professional clients (all channels for distribution channels). Public Offering in Switzerland only.
  • Retail Restrictions: EEA & UK domiciled: Applicable Other: Subject to applicable regulations and restrictions
  • Timing: Books close at 10.50am CET, pricing to follow thereafter