DESCRIPTION OF NOTES
This section outlines the specific financial and legal terms of the notes that are more generally described under “Description of Debt Securities and Guarantee” beginning on page 10 of the prospectus that is attached to this prospectus supplement. If anything described in this section is inconsistent with the terms described under “Description of Debt Securities and Guarantee” in the attached prospectus, the terms described below shall prevail.
The term “notes” shall mean the notes originally issued on the original issuance date taken together with any additional notes of the same series subsequently issued.
Terms of the Notes
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Issuer: TotalEnergies Capital
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Guarantor: TotalEnergies SE
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Title: 4.724% Guaranteed Notes Due 2034.
5.275% Guaranteed Notes Due 2054.
5.425% Guaranteed Notes Due 2064.
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Total initial principal amount of 2034 notes being issued: $750,000,000.
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Total initial principal amount of 2054 notes being issued: $1,000,000,000.
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Total initial principal amount of 2064 notes being issued: $1,250,000,000.
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Public Offering Price for the 2034 notes: 100.000% plus accrued interest from September 10, 2024.
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Public Offering Price for the 2054 notes: 100.000% plus accrued interest from September 10, 2024.
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Public Offering Price for the 2064 notes: 100.000% plus accrued interest from September 10, 2024.
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Issuance date: September 10, 2024.
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Maturity date: The 2034 notes will mature on September 10, 2034.
The 2054 notes will mature on September 10, 2054.
The 2064 notes will mature on September 10, 2064.
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Interest rate: The 2034 notes will bear an interest at the rate of 4.724% per annum.
The 2054 notes will bear an interest at the rate of 5.275% per annum.
The 2064 notes will bear an interest at the rate of 5.425% per annum.
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Day count: Interest will be calculated on the basis of a 360-day year consisting of twelve 30-day months.
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Date interest starts accruing: September 10, 2024.
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Interest payment dates: Each March 10 and September 10 for the 2034 notes.
Each March 10 and September 10 for the 2054 notes.
Each March 10 and September 10 for the 2064 notes.
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First interest payment date: March 10, 2025 for the 2034 notes, March 10, 2025 for the 2054 notes and March 10, 2025 for the 2064 notes.
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Regular record dates for interest: Each February 23 and August 26 for the 2034 notes.
Each February 23 and August 26 for the 2054 notes.
Each February 23 and August 26 for the 2064 notes.
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Business Day: If any payment is due in respect of the notes on a day that is not a business day, it will be made on the next following business day, provided that no interest will accrue on the payment so deferred. A “business day” for these purposes is any weekday on which banking or trust institutions in the City of New York are not authorized generally or obligated by law, regulation or executive order to close.