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Société Générale issues EUR 30 million senior preferred notes due Sept. 30, 2038

The notes were launched under the Debt Instruments Issuance Programme at 100% of nominal, with EUR 1,000 denominations, 57.24% fixed interest in arrear at maturity and an issuer call from Oct. 2, 2028 to Sept. 30, 2037.

SOGN.PA