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Standard Chartered calls €500m of notes: redemption and payment dates confirmed

Standard Chartered announced on 7 September 2026 that it will fully redeem its €500m fixed-rate reset notes due 2027, identified by ISIN XS1693281617. The timetable The contractual redemption date is 3 October 2026. Payment will be made on 5 October, at the call-option redemption amount plus accrued unpaid interest. Following redemption, the notes will be cancelled. Their FCA Official List entry and London Stock Exchange admission are expected to be cancelled on or shortly after 6 October. What

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