Standard Chartered PLC
13 September 2022
Redemption of
€
750,000,000 Fixed Rate Reset Notes due 2023 (the "Notes") issued by Standard Chartered PLC ("SCPLC")
ISIN:
XS1693281534
SCPLC has today given notice in accordance with the Final Terms dated 29 September 2017 relating to the Notes (the "FinalTerms") that, on 3 October 2022, it will redeem the € 750,000,000 in principal amount of the outstanding Notes together with accrued but unpaid interest in accordance with the Final Terms.
For further information, please contact:
Daniel Banks
Managing Director, Global Head, Debt Investor Relations
1 Basinghall Avenue
London
EC2V 5DD
020 7885 6329
Shaun Gamble
Director, Group Media Relations
1 Basinghall Avenue
London
EC2V 5DD
020 7885 5934
Standard Chartered PLC LEI: U4LOSYZ7YG4W3S5F2G91
END