Company: SOJE
Filing Date: 2025-11-03
Form Type: 424B5
Source: 0000092122-25-000088
Chunk: 132

Company: SOUTHERN CO
Filing Date: 2025-11-03
Form: 424B5
Chunk 132
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s. In such circumstances, holders of RSNs that underlie Corporate Units will be deemed to have exercised such put right with respect to both series of RSNs as described under “Description of the Purchase Contracts—Remarketing,” unless they settle the related purchase contracts with separate cash.

#### Redemption at the Company’s Option
The Series 2025B RSNs shall not be subject to optional redemption at any time. The Company may redeem the Series 2025C RSNs at the Company’s option only if there has been a failed final remarketing. In that event, any Series 2025C RSNs that remain outstanding after the purchase contract settlement date will be redeemable on or after December 15, 2030 at the Company’s option, in whole or in part, at any time and from time to time, at a redemption price equal to the principal amount thereof plus accrued and unpaid interest, if any, to but excluding the redemption date. The Company may at any time irrevocably waive the right to redeem the Series 2025C RSNs for any specified period (including the remaining term of the RSNs). The Company may not redeem the Series 2025C RSNs if the Series 2025C RSNs have been accelerated and such acceleration has not been rescinded or unless all accrued and unpaid interest has been paid in full on all outstanding Series 2025C RSNs for all interest periods terminating on or prior to the redemption date. Following a successful remarketing of the Series 2025C RSNs, the Series 2025C RSNs will cease to be redeemable at the Company’s option.

#### Redemption Procedures
The Company will mail notice of any optional redemption to the registered holder of the Series 2025C RSNs being redeemed not less than 10 days and not more than 60 days before the redemption date. The notice of redemption will identify, among other things, the redemption date, the redemption price and that, on the redemption date, the redemption price will become due and payable and that Series 2025C RSNs called for redemption will cease to accrue interest on and after the redemption date (unless there is a default on payment of the redemption price). Prior to the redemption date, the Company will deposit with the paying agent or the Senior Note Indenture Trustee money sufficient to pay the redemption price of the Series 2025C RSNs to be redeemed on that date. If