Standard Chartered PLCSTAN
± MixedCapitalrelevance
Standard Chartered issued a USD 750M perpetual FRN with a fixed rate; this is a routine capital markets transaction with no clear positive or negative signal.

The rate for Standard Chartered PLC's USD 750,000,000 floating rate note perpetual has been fixed at 5.61461 percent. The determination was made on July 28, 2026, for the interest period running from July 30, 2026, to October 30, 2026, covering 92 days. Payment is due on October 30, 2026, with an amount payable per USD 100,000 denomination of 1,434.84, totaling 10,761,300 for the entire issue. Bank of New York Mellon acted as agent bank for this rate fix.
Standard Chartered PLCStandard Chartered issued a USD 750M perpetual FRN with a fixed rate; this is a routine capital markets transaction with no clear positive or negative signal.