Standard Chartered PLC (‘SCPLC') on January 4, 2022 given notice in accordance with the Final Terms dated 4 October 2018 relating to the Notes (the ‘FinalTerms') that, on 20 January 2022, it will redeem the $1,400,000,000 4.247% Fixed-to-Floating Rate Notes due 2023 (the ‘Notes') in principal amount of the outstanding Notes together with accrued but unpaid interest in accordance with the Final Terms.