1. Details of issuer

Name:

Deutsche Lufthansa AG

Street:

Venloer Str. 151-153

Postal code:

50672

City:

Cologne
Germany

Legal Entity Identifier (LEI):

529900PH63HYJ86ASW55


2. Reason for notification

X

Acquisition/disposal of shares with voting rights

 

Acquisition/disposal of instruments

 

Change of breakdown of voting rights

 

Other reason:


3. Details of person subject to the notification obligation

Legal entity: Société Générale S.A.
City of registered office, country: Paris, France


4. Names of shareholder(s)
holding directly 3% or more voting rights, if different from 3.

 


5. Date on which threshold was crossed or reached:

29 Nov 2019


6. Total positions

 

% of voting rights attached to shares 
(total of 7.a.)

% of voting rights throug instruments 
(total of 7.b.1 + 7.b.2)

Total of both in % 
(7.a. + 7.b.)

Total number of voting rights pursuant to Sec. 41 WpHG

New

1.33 %

3.75 %

5.08 %

478,194,257

Previous notification

0 %

0 %

0 %

/


7. Details on total positions 
a. Voting rights attached to shares (Sec. 33, 34 WpHG)

ISIN

Absolute

In %

 

Direct 
(Sec. 33 WpHG)

Indirect 
(Sec. 34 WpHG)

Direct 
(Sec. 33 WpHG)

Indirect 
(Sec. 34 WpHG)

DE0008232125

4,037,587

2,333,592

0.84 %

0.49 %

Total

6,371,179

1.33 %


b.1. Instruments according to Sec. 38 (1) no. 1 WpHG

Type of instrument

Expiration or maturity date

Exercise or conversion period

Voting rights absolute

Voting rights in %

Right to recall lent securities 

N/A

N/A

6,528,865

1.37 %

Listed call option

20/12/2019

Until 20/12/2019

150,000

0.03 %

Listed call option

18/12/2020

Until 18/12/2020

150,000

0.03 %

Listed call option

17/12/2021

Until 17/12/2021

250,000

0.05 %

Certificates

11/09/2020

11/09/2020

6,068

0.00 %

Certificates

12/06/2020

12/06/2020

1,012

0.00 %

Certificates

13/12/2019

13/12/2019

891

0.00 %

Certificates

17/07/2020

17/07/2020

4,615

0.00 %

Certificates

18/06/2021

18/06/2021

8,829

0.00 %

Certificates

18/09/2020

18/09/2020

1,784

0.00 %

Certificates

18/12/2020

18/12/2020

17,156

0.00 %

Certificates

19/06/2020

19/06/2020

45,498

0.01 %

Certificates

20/03/2020

20/03/2020

833

0.00 %

Certificates

20/12/2019

20/12/2019

19,722

0.00 %

Certificates

23/10/2020

23/10/2020

6,643

0.00 %

OTC Call Option

18/12/2020

18/12/2020

325,804

0.07 %

 

 

Total

7,517,720

1.57 %


b.2. Instruments according to Sec. 38 (1) no. 2 WpHG

Type of instrument

Expiration or maturity date

Exercise or conversion period

Cash or physical settlement

Voting rights absolute

Voting rights in %

OTC Call Option on Basket

03/01/2025

03/01/2025

Cash

33,725

0.01 %

OTC Call Option on Basket

03/01/2025

Until 03/01/2025

Cash

2,964

0.00 %

Dynamic Swap portfolio

N/A

N/A

Cash

460,099

0.10 %

Equity Linked Swaps

16/12/2019

16/12/2019

Cash

627,852

0.13 %

OTC Call Option

18/12/2019

Until 18/12/2019

Cash

122,119

0.03 %

OTC Call Option

20/12/2019

20/12/2019

Cash

281

0.00 %

OTC Call Option

20/12/2019

Until 20/12/2019

Cash

812,939

0.17 %

OTC Call Option

18/03/2020

Until 18/03/2020

Cash

111,797

0.02 %

OTC Call Option

17/06/2020

Until 17/06/2020

Cash

70,510

0.01 %

OTC Call Option

16/09/2020

Until 16/09/2020

Cash

48,371

0.01 %

OTC Call Option

16/12/2020

Until 16/12/2020

Cash

213,764

0.04 %

OTC Call Option

18/12/2020

Until 18/12/2020

Cash

21,444

0.00 %

OTC Call Option

17/03/2021

Until 17/03/2021

Cash

20,277

0.00 %

OTC Call Option

16/06/2021

Until 16/06/2021

Cash

3,679

0.00 %

OTC Call Option

15/12/2021

Until 15/12/2021

Cash

59,997

0.01 %

OTC Call Option

17/12/2021

Until 17/12/2021

Cash

16,713

0.00 %

OTC Call Option

14/12/2022

Until 14/12/2022

Cash

18,531

0.00 %

OTC Call Option

16/12/2022

Until 16/12/2022

Cash

14,009

0.00 %

OTC Call Option

13/12/2023

Until 13/12/2023

Cash

19,456

0.00 %

OTC Call Option

03/01/2025

Until 03/01/2025

Cash

74,136

0.02 %

OTC Put Option

18/12/2019

Until 18/12/2019

Cash

116,496

0.02 %

OTC Put Option

20/12/2019

20/12/2019

Cash

8,300

0.00 %

OTC Put Option

15/01/2020

Until 15/01/2020

Cash

2,252

0.00 %

OTC Put Option

21/02/2020

21/02/2020

Cash

800

0.00 %

OTC Put Option

18/03/2020

Until 18/03/2020

Cash

48,161

0.01 %

OTC Put Option

20/03/2020

20/03/2020

Cash

1,100

0.00 %

OTC Put Option

17/06/2020

Until 17/06/2020

Cash

51,734

0.01 %

OTC Put Option

19/06/2020

19/06/2020

Cash

200

0.00 %

OTC Put Option

16/09/2020

Until 16/09/2020

Cash

2,952

0.00 %

OTC Put Option

05/10/2020

05/10/2020

Cash

158,464

0.03 %

OTC Put Option

16/12/2020

Until 16/12/2020

Cash

9,340

0.00 %

OTC Put Option

17/03/2021

Until 17/03/2021

Cash

394

0.00 %

OTC Put Option

03/01/2025

Until 03/01/2025

Cash

60,075

0.01 %

Listed Put Option

20/12/2019

Until 20/12/2019

Physical

805,000

0.17 %

Listed Put Option

20/03/2020

Until 20/03/2020

Physical

525,000

0.11 %

Listed Put Option

19/06/2020

Until 19/06/2020

Physical

1,543,400

0.32 %

Listed Put Option

18/12/2020

Until 18/12/2020

Physical

1,425,000

0.30 %

Listed Put Option

18/06/2021

Until 18/06/2021

Physical

300,000

0.06 %

Listed Put Option

17/12/2021

Until 17/12/2021

Physical

750,000

0.16 %

Listed Put Option

16/12/2022

Until 16/12/2022

Physical

75,000

0.02 %

Listed Call Warrant

18/12/2019

Until 18/12/2019

Cash

44,296

0.01 %

Listed Call Warrant

20/12/2019

Until 20/12/2019

Cash

812,813

0.17 %

Listed Call Warrant

20/12/2019

20/12/2019

Cash

93

0.00 %

Listed Call Warrant

18/03/2020

Until 18/03/2020

Cash

96,406

0.02 %

Listed Call Warrant

17/06/2020

Until 17/06/2020

Cash

55,891

0.01 %

Listed Call Warrant

16/09/2020

Until 16/09/2020

Cash

46,777

0.01 %

Listed Call Warrant

16/12/2020

Until 16/12/2020

Cash

171,133

0.04 %

Listed Call Warrant

18/12/2020

Until 18/12/2020

Cash

13,533

0.00 %

Listed Call Warrant

17/03/2021

Until 17/03/2021

Cash

18,917

0.00 %

Listed Call Warrant

16/06/2021

Until 16/06/2021

Cash

2,631

0.00 %

Listed Call Warrant

15/12/2021

Until 15/12/2021

Cash

56,388

0.01 %

Listed Call Warrant

17/12/2021

Until 17/12/2021

Cash

3,788

0.00 %

Listed Call Warrant

14/12/2022

Until 14/12/2022

Cash

17,104

0.00 %

Listed Call Warrant

16/12/2022

Until 16/12/2022

Cash

12,972

0.00 %

Listed Call Warrant

13/12/2023

Until 13/12/2023

Cash

16,928

0.00 %

Listed Call Warrant

03/01/2025

Until 03/01/2025

Cash

68,201

0.01 %

Listed Call Warrant

03/01/2025

03/01/2025

Cash

33,134

0.01 %

Listed Put Warrant

18/12/2019

Until 18/12/2019

Cash

116,496

0.02 %

Listed Put Warrant

20/12/2019

20/12/2019

Cash

8,300

0.00 %

Listed Put Warrant

15/01/2020

Until 15/01/2020

Cash

2,252

0.00 %

Listed Put Warrant

21/02/2020

21/02/2020

Cash

800

0.00 %

Listed Put Warrant

18/03/2020

Until 18/03/2020

Cash

48,161

0.01 %

Listed Put Warrant

20/03/2020

20/03/2020

Cash

1,100

0.00 %

Listed Put Warrant

17/06/2020

Until 17/06/2020

Cash

51,734

0.01 %

Listed Put Warrant

19/06/2020

19/06/2020

Cash

200

0.00 %

Listed Put Warrant

16/09/2020

Until 16/09/2020

Cash

2,952

0.00 %

Listed Put Warrant

16/12/2020

Until 16/12/2020

Cash

9,340

0.00 %

Listed Put Warrant

17/03/2021

Until 17/03/2021

Cash

394

0.00 %

Listed Put Warrant

03/01/2025

Until 03/01/2025

Cash

60,075

0.01 %

 

 

 

Total

10,409,140

2.18 %


8. Information in relation to the person subject to the notification obligation

 

Person subject to the notification obligation is not controlled nor does it control any other undertaking(s) that directly or indirectly hold(s) an interest in the (underlying) issuer (1.).

X

Full chain of controlled undertakings starting with the ultimate controlling natural person or legal entity:

Name

% of voting rights (if at least 3% or more)

% of voting rights through instruments (if at least 5% or more)

Total of both (if at least 5% or more)

Société Générale S.A.

%

%

%

Société Générale Effekten GmbH

%

%

%

 

   

Société Générale S.A.

%

%

%

Société Generale International Limited

%

%

%

 

   

Société Générale S.A.

%

%

%

Généfinance S.A.

%

%

%

Sogéparticipations S.A.

%

%

%

Société Générale Bank & Trust S.A.

%

%

%


9. In case of proxy voting according to Sec. 34 para. 3 WpHG
(only in case of attribution of voting rights in accordance with Sec. 34 para. 1 sent. 1 No. 6 WpHG)

Date of general meeting: 
Holding total positions after general meeting (6.) after annual general meeting:

Proportion of voting rights

Proportion of instruments

Total of both

%

%

%


10. Other explanatory remarks:

 


Date

04 Dec 2019