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RNS Number : 0679H Standard Life plc 04 June 2026
4 June 2026
Completion of Early Redemption
Standard Life plc (formerly Phoenix Group Holdings plc) ("Standard Life")
announces the completion of a further stage in its debt redemption programme.
Standard Life has today redeemed its U.S.$350,000,000 Fixed Rate Reset Tier 2
Notes due 2031 (ISIN: XS2182954797) at their principal amount, together with
accrued interest, further to the notice given to holders on 5 May
2026.
For further information:
Sally Campbell, Group Treasurer
+44 20 4559 4751
Sally.Campbell@standardlife.com
Joanne Roberts, Investor Relations Director
+44 20 4559 4673
Joanne.Roberts@standardlife.com
Legal Entity Identifier (LEI) Number: 2138001P49OLAEU33T68
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