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IssuerCurrencyNameISINDocument
SC PLCSGDSGD 750,000,000 Fixed Rate Resetting Perpetual Subordinated Contingent Convertible SecuritiesXS2845033682Launch Announcement
Offering Circular
Conversion Calculation
Agency Agreement
SC PLCUSDU.S.$1,000,000,000 7.875% Resetting Perpetual Subordinated Contingent Convertible SecuritiesUS853254DA59
USG84228GE26
Launch Announcement
Offering Circular
Conversion Calculation Agency Agreement
SC PLCUSDU.S.$1,250,000,000 7.75% Resetting Perpetual Subordinated Contingent Convertible SecuritiesUS853254CM07
USG84228FJ22
Launch Announcement
Offering Circular
Trust Deed
Agency Agreement
Conversion Calculation Agency Agreement
SC PLCUSDU.S.$1,500,000,000 4.30% Resetting Perpetual Subordinated Contingent Convertible SecuritiesUS853254CD08
USG84228EV68
Launch Announcement
Offering Circular
Trust Deed
Agency Agreement
Conversion Calculation Agency Agreement
SC PLCUSDU.S.$1,250,000,000 4.75% Resetting Perpetual Subordinated Contingent Convertible SecuritiesUS853254BX70
USG84228EP90
Launch Announcement
Offering Circular
Trust Deed
Agency Agreement
Conversion Calculation Agency Agreement
SC PLCUSDU.S.$1,000,000,000 6.00% Resetting Perpetual Subordinated Contingent Convertible SecuritiesUS853254BT68
USG84228EH74
Launch Announcement
Offering Circular
Trust Deed
Agency Agreement
Conversion Calculation Agency Agreement
IssuerNameISINDocument
SC PLCUSDU.S.$750,000,000 7.014% Non-Cumulative Redeemable Preference SharesUS853254AB69
US853254AC43
Offering Circular
SC PLCUSDU.S.$750,000,000 6.409% Non-Cumulative Redeemable Preference SharesUS853254AA86
USG84228AT58
Offering Circular
SC PLCGBP£100,000,000 8.25% Non-Cumulative Irredeemable Preference SharesGB0008399700Offering Circular
SC PLCGBP£100,000,000 7.375% Non-Cumulative Irredeemable Preference SharesGB0008401324Offering Circular
Standard Chartered PLC
IssuerCurrencyNameISINDocument
SC PLCUSDU.S.$750,000,000 3.603 per cent. Fixed Rate Reset Dated Subordinated Notes due 2033US853254CH12 XS2428496710Final Terms
SC PLCEUR€1,000,000,000 1.200 per cent. Fixed Rate Reset Dated Subordinated Notes due 2031XS2319954710Final Terms
SC PLCUSDU.S.$1,250,000,000 3.265 per cent. Fixed Rate Reset Dated Subordinated Notes due 2036XS2230265246 US853254BU32Final Terms
SC PLCEUR€1,000,000,000 2.50 per cent. Fixed Rate Reset Dated Subordinated Notes due 2030XS2183818637Final Terms
SC PLCUSDU.S.$1,000,000,000 3.516 per cent. Fixed Rate Reset Dated Subordinated Notes due 2030XS2078692014Final Terms
SC PLCUSDU.S. $500,000,000 4.866 per cent. Fixed Rate Reset Dated Subordinated Notes due 2033XS1793294841 US853254BK59Final Terms
SC PLCUSDU.S.$1,250,000,000 4.300 per cent. Dated Subordinated Notes due 2027XS1480699641 US853254BF64Final Terms
SC PLCEUR€500,000,000 3.125 per cent. Dated Subordinated Notes due 2024XS1140857316Final Terms
SC PLCGBP£900,000,000 5.125 per cent. Dated Subordinated Notes due 2034XS1075419694Final Terms
SC PLCUSDU.S.$ 2,000,000,000 5.700 per cent. Dated Subordinated Notes due 2044XS1049699926 US853254AN08Final Terms
SC PLCUSDU.S.$500,000,000 5.300 per cent. Dated Subordinated Notes due 2043

U.S.$250,000,000 5.300 per cent. Dated Subordinated Notes due 2043
XS0875267394 US853254AK68Final Terms (Original)

Final Terms (Tap)
Standard Chartered Bank
IssuerCurrencyNameISINDocument
SCBUSDU.S.$700,000,000 8.00% Subordinated Notes due 2031XS0130337735Final Terms
Standard Chartered PLC
IssuerCurrencyNameISINDocument
SC PLCUSDU.S.$1,000,000,000 5.688 per cent. Fixed Rate Reset Notes due 2028USG84228GG73 / US853254DB33Final Terms
SC PLCUSDU.S.$500,000,000 Floating Rate Notes due 2028USG84228GJ13 / US853254DD98Final Terms
SC PLCUSDU.S.$1,500,000,000 5.905 per cent. Fixed Rate Reset Notes due 2035USG84228GH56 / US853254DC16Final Terms
SC PLCHKDHKD 1,100,000,000 4.70 per cent. Fixed Rate Notes due 2027HK0001003539Final Terms
SC PLCEUREUR1,000,000,000 4.196 per cent. Fixed Rate Reset Notes due 2032XS2744121273Final Terms
SC PLCSGDSGD 335,000,000 4.00 per cent. Fixed Rate Reset Notes due 2030XS2750316312Final Terms
SC PLCUSDU.S.$1,500,000,000 6.097 per cent. Fixed Rate Reset Notes due 2035US853254CZ10 / USG84228GC69Final Terms
SC PLCUSDU.S.$750,000,000 6.750 per cent. Fixed Rate Reset Notes due 2028USG84228FY98 / US853254CW88Final Terms
SC PLCUSDU.S.$750,000,000 7.018 per cent. Fixed Rate Reset Notes due 2030USG84228FZ63 / US853254CX61Final Terms
SC PLCUSD
U.S.$400,000,000 Floating Rate Notes due 2028
USG84228GA04 / US853254CY45Final Terms
SC PLCUSDU.S.$1,000,000,000 6.187 per cent. Fixed Rate Reset Notes due July 2027USG84228FU76 US853254CT59Final Terms
SC PLCUSDU.S.$500,000,000 Floating Rate Notes due July 2027USG84228FT04 US853254CV06Final Terms
SC PLCUSDU.S.$1,000,000,000 6.296 per cent. Fixed Rate Reset Notes due July 2034USG84228FV59 US853254CU23Final Terms
SC PLCHKDHKD 784,000,000 Fixed Rate Notes due June 2026XS2637125951Final Terms
SC PLCEUREUR 1,000,000,000 4.874 per cent. Fixed Rate Reset Notes due 2031XS2618731256Final Terms
SC PLCUSDU.S.$1,000,000,000 6.170 per cent. Fixed Rate Reset Notes due 2027USG84228FN34 US853254CQ11Final Terms
SC PLCUSDU.S.$1,500,000,000 6.301 per cent. Fixed Rate Reset Notes due 2029USG84228FQ64 US853254CS76Final Terms
SC PLCUSDU.S.$1,000,000,000 7.776 per cent. Fixed Rate Reset Notes due 2025USG84228FH65 US853254CL24Final Terms
SC PLCUSDU.S.$1,000,000,000 7.767 per cent. Fixed Rate Reset Notes due 2028USG84228FL77 US853254CN89Final Terms
SC PLCSGDSGD 255,000,000 4.500 per cent. Fixed Rate Reset Notes due 2033XS2490932899Final Terms
SC PLCUSDU.S.$1,000,000,000 3.971 per cent. Fixed Rate Reset Notes due 2026USG84228FD51 US853254CJ77Final Terms
SC PLCUSDU.S.$500,000,000 Floating Rate Notes due 2026USG84228FE35 US853254CK41Final Terms
SC PLCCNHCNH 1,100,000,000 4.350 per cent. Fixed Rate Notes due 2026XS2456435945Final Terms
SC PLCUSDU.S.$1,250,000,000 2.608 per cent. Fixed Rate Reset Notes due 2028US853254CG39 XS2428496637Final Terms
SC PLCUSDU.S.$1,000,000,000 1.822 per cent. Fixed Rate Reset Notes due 2025US853254CE80 USG84228EW42Final Terms
SC PLCUSDU.S.$500,000,000 Floating Rate Notes due 2025US853254CF55 USG84228EX25Final Terms
SC PLCUSD€500,000,000 0.800 per cent. Fixed Rate Reset Sustainability Notes due 2029XS2407969885Final Terms
SC PLCUSDU.S.$1,250,000,000 2.678 per cent. Fixed Rate Reset Notes due 2032XS2358287824 US853254CC25Final Terms
SC PLCUSDU.S.$1,500,000,000 1.456 per cent. Fixed Rate Reset Notes due 2027XS2283175516 US853254BZ29Final Terms
SC PLCUSDU.S.$80,000,000 Zero Coupon Notes due May 2050XS2173114898Final Terms
SC PLCUSDU.S.$50,000,000 Zero Coupon Notes due May 2050XS2171764843Final Terms
SC PLCUSDU.S.$ 100,000,000 Zero Coupon Notes due April 2050XS2150016017Final Terms
SC PLCUSDU.S.$2,000,000,000 4.644 per cent. Fixed Rate Reset Notes due 2031XS2150091739 US853254BS85Final Terms
SC PLCEUR€750,000,000 0.85 per cent. Fixed Rate Reset Notes due 2028XS2102360315Final Terms
SC PLCUSDU.S.$2,000,000,000 2.819 per cent. Fixed-to-Floating Rate Notes due 2026XS2100414866 US85325WAA62Final Terms
SC PLCEUR€500,000,000  0.900 per cent. Fixed Rate Reset Sustainability Notes due 2027XS2021467753Final Terms
SC PLCUSDU.S.$100,000,000 Zero Coupon Callable Notes due 2049XS1999840710Final Terms
SC PLCUSDU.S.$1,000,000,000 4.305 per cent. Fixed-to-Floating Rate Notes due 2030US853254BP47 XS2001211122Final Terms
SC PLCJPYJPY 10,000,000,000 Fixed Rate Notes due August 2029XS1865271867Final Terms
SC PLCJPYJPY 18,900,000,000 Fixed Rate Notes due June 2025XS1837973871Final Terms
SC PLCEUR€500,000,000 Fixed Rate Reset Notes due 2027XS1693281617Final Terms
SC PLCUSDU.S.$ 1,250,000,000 4.05 per cent. Notes due 2026

U.S.$28,000,000 4.05 per cent. Notes due 2026
XS1395052639 US853254AZ38Final Terms (Original)

Final Terms (Tap)
SC PLCJPY1.043% Senior Dated NotesJP582605CF62Final Terms
SC PLCUSDU.S.$750,000,000 3.200 per cent. Notes due 2025US853254AX89 XS1219971774Final Terms
SC PLCGBP£750,000,000 4.375 per cent. Notes due 2038XS0876756452Final Terms
Standard Chartered Bank
IssuerCurrencyNameISINDocument
SCBAUDAUD 400 million Floating Rate Notes due August 2027AU3FN0090874Final Terms
SCBEUREUR 100 million 4.20 per cent Fixed Rate Notes due 2025XS2692457513Final Terms
SCBEUREUR 50 million Floating Rate Notes due September 2025
EUR 50 million Floating Rate Notes due September 2025
EUR 237 million Floating Rate Notes due September 2025
XS2680785099Final Terms (Original)
Final Terms (Tap)
Final Terms (Tap)
SCBUSDUSD 30 million Floating Rate Notes due September 2028XS2680396863Final Terms
SCBUSDUSD 20 million Floating Rate Notes due September 2028XS2675202324Final Terms
SCBUSDUSD 30 million Floating Rate Notes due August 2026XS2668508083Final Terms
SCBUSDUSD 125 million Floating Rate Notes due August 2026XS2667594449Final Terms
SCBUSDUSD 50 million Floating Rate Notes due August 2025XS2667594522Final Terms
SCBEUREUR 100,000,000 0.76% 3Y Fixed NotesXS2451450717Final Terms
SCBUSDU.S.$30,000,000 Floating Rate Notes due 2025XS2451855295Final Terms
SCBGBPGBP 100,000,000 Floating Rate Notes due 2024XS2455404777Final Terms
SCBCNYCNY 865,000,000 3yr Fixed Rate Notes due April 2025HK0000834041Final Terms
SCBCNYCNY 600,000,000 3yr Fixed Rate Notes due April 2025HK0000844610Final Terms
SCBJPYJPY 4,500,000,000 Fixed Rate Notes due April 2025XS2470956249Final Terms
SCBUSDU.S.$ 30,000,000 Floating Rate Notes due 2025XS2485591445Final Terms
SCBHKDHKD 500,000,000 3yr Fixed Rate Notes due June 2025HK0000855673Final Terms
SCBUSDUSD 300,000,000 4.00% 3Y Fixed NotesXS2490824815Final Terms
SCBHKDHKD 400,000,000 Fixed Rate Notes due June 2025HK0000860210Final Terms
SCBHKDHKD 400,000,000 Fixed Rate Notes due July 2025HK0000863800Final Terms
SCBEUREUR 50,000,000 2.13% 3.5Y Fixed Notes due January 2026XS2504513859Final Terms
SCBHKDHKD 300,000,000 Floating Rate Notes due August 2027HK0000871647Final Terms
SCBHKDHKD 1,000,000,000 Fixed Rate Notes due August 2025HK0000871639Final Terms
SCBUSDU.S.$60,000,000 Floating Rate Notes due August 2025XS2521820980Final Terms
SCBUSDU.S.$30,000,000 Floating Rate Notes due August 2027XS2523868318Final Terms
SCBHKDHKD 1,000,000,000 Fixed Rate Notes due August 2025HK0000872355Final Terms
SCBHKDHKD 600,000,000 Fixed Rate Notes due September 2025HK0000874807Final Terms
SCBHKDHKD 450,000,000 Fixed Rate Notes due September 2025HK0000877446Final Terms
SCBUSDUSD 30 million 3-yr Floating Rate Notes due October 2025XS2541324112Final Terms
SCBUSDU.S.$30,000,000 Floating Rate Notes due 2025XS2545278660Final Terms
SCBHKDHKD 341,000,000 Fixed Rate Notes due November 2025HK0000888203Final Terms
SCBUSDU.S.$20,000,000 Floating Rate Notes due November 2027HK0000892114Final Terms
SCBJPYJPY 20.6 billion Fixed Rate Notes due November 2027XS2558634106Final Terms
SCBUSDUSD 50 million 5-yr Floating Rate Notes due December 2027XS2565434359Final Terms
SCBUSDUSD 20 million 5.514% 2 year Fixed Rate Notes due December 2024XS2568325778Final Terms
SCBUSDUSD 150 million 5.36% 3-yr Fixed Rate Notes due January 2026XS2575961847Final Terms
SCBUSDUSD 30 million 3-yr Floating Rate Notes due January 2026XS2577785848Final Terms
SCBUSDUSD 110 million 5-yr Floating Rate Notes due January 2028XS2577785764Final Terms
SCBHKDHKD 900,000,000 Fixed Rate Notes due January 2026XS2577888816Final Terms
SCBUSDUSD 25 million 4.80% 2-yr Fixed Rate Notes due March 2025XS2594822327Final Terms
SCBEUREUR 500 million 2-yr Floating Rate Notes due March 2025XS2593127793Final Terms
SCBJPYJPY 7.5 billion 10-yr 1.55% Fixed Rate Notes due March 2033XS2594790029Final Terms
SCBJPYJPY 8.4 billion 4-yr 0.80% Fixed Rate Notes due March 2027XS2596924311Final Terms
SCBUSDUSD 50 million 5-yr Floating Rate Notes due March 2028XS2603041190Final Terms
SCBUSDUSD 25 million 5-yr Floating Rate Notes due March 2028XS2606089089Final Terms
SCBEUREUR 100,000,000 4.00% 4Y Fixed Notes due May 2027XS2619357838Final Terms
SCBHKDHKD 1,900,000,000 Fixed Rate Notes due May 2026HK0000924784Final Terms
SCBAUDAUD 60,000,000 4.25% Fixed Notes due November 2024XS2619835247Final Terms
SCBEUREUR 30 million Floating Rate Notes due March 2025XS2593127793-1Final Terms
SCBEUREUR 94.5 million Floating Rate Notes due March 2025XS2593127793-2Final Terms
SCBUSDUSD 50 million Floating Rate Notes due December 2024XS2636624319Final Terms
SCBUSDUSD 100 million Floating Rate Notes due June 2026XS2639598841Final Terms
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Standard Chartered (Singapore) Limited Covered Bond Programme

This page contains the offering circular as well as investor reports for Singapore Law governed covered bonds issued by Standard Chartered Bank (Singapore) Limited.

The skyline of London: from the Tower Bridge to London Bridge during sunset time, United Kingdom

Standard Chartered Bank Covered Bond Programme

English Law governed covered bonds issued by Standard Chartered Bank. Please refer to the section below for programme documents and investor reports.

Reports