29 December 2023
List of Directors and their Roles and Functions
29 December 2023
Publication of Supplementary Prospectus
28 December 2023
Notice of redemption
21 December 2023
Standard Chartered Plc confirms the appointment date of its new Group Chief Financial Officer
8 December 2023
Terms of Reference of the Audit Committee
8 December 2023
Terms of Reference of the Board Governance and Nomination Committee
8 December 2023
Terms of Reference of the Remuneration Committee
6 December 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 30/11/2023
4 December 2023
Block Listing Six Monthly Return
1 December 2023
Voting Rights and Capital
30 November 2023
Sustainability Investor Event
22 November 2023
JPY 111,000,000,000 Fixed Rate Bonds due 2024 (ISIN: JP582605AJB5) (Stock Code: 5475) Notice on Completion of Redemption
21 November 2023
Grant of Share Awards
15 November 2023
Next Day Disclosure Return
10 November 2023
Notice of redemption
8 November 2023
Next Day Disclosure Return
8 November 2023
(Revised) Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/10/2023
8 November 2023
Notice to the holders of JPY111,000,000,000 Fixed Rate Bonds due 2024 (ISIN: JP582605AJB5) (Stock Code: 5475)
7 November 2023
Next Day Disclosure Return
7 November 2023
Transaction in own shares
6 November 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/10/2023
6 November 2023
Next Day Disclosure Return
6 November 2023
Publication of Final Terms
6 November 2023
3Q 2023 Pillar 3 Disclosures
6 November 2023
Transaction in own shares
3 November 2023
Next Day Disclosure Return
3 November 2023
Standard Chartered announces completion of sale of its global aviation finance leasing business to AviLease
3 November 2023
Transaction in own shares
2 November 2023
Next Day Disclosure Return
2 November 2023
Voting Rights and Capital
2 November 2023
Transaction in own shares
1 November 2023
Next Day Disclosure Return
1 November 2023
Transaction in own shares
31 October 2023
Next Day Disclosure Return
31 October 2023
Transaction in own shares
30 October 2023
Next Day Disclosure Return
30 October 2023
Transaction in own shares
27 October 2023
Next Day Disclosure Return
27 October 2023
Publication of Supplementary Prospectus
27 October 2023
Transaction in own shares
26 October 2023
Next Day Disclosure Return
26 October 2023
Interim Management Statement – Third Quarter 2023 Results
26 October 2023
Transaction in own shares
25 October 2023
Next Day Disclosure Return
25 October 2023
Transaction in own shares
24 October 2023
Next Day Disclosure Return
24 October 2023
Transaction in own shares
24 October 2023
Next Day Disclosure Return
24 October 2023
Transaction in own shares
20 October 2023
Next Day Disclosure Return
20 October 2023
Notice of redemption
20 October 2023
Transaction in own shares
19 October 2023
Next Day Disclosure Return
19 October 2023
Transaction in own shares
18 October 2023
Next Day Disclosure Return
18 October 2023
Director/PDMR Shareholding
18 October 2023
Transaction in own shares
17 October 2023
Next Day Disclosure Return
17 October 2023
(Revised) Next Day Disclosure Return
17 October 2023
Transaction in own shares
16 October 2023
Next Day Disclosure Return
16 October 2023
Transaction in own shares
13 October 2023
Next Day Disclosure Return
13 October 2023
Transaction in own shares
12 October 2023
Next Day Disclosure Return
12 October 2023
Transaction in own shares
11 October 2023
Next Day Disclosure Return
11 October 2023
Transaction in own shares
10 October 2023
Next Day Disclosure Return
10 October 2023
Transaction in own shares
9 October 2023
Next Day Disclosure Return
9 October 2023
Transaction in own shares
6 October 2023
Next Day Disclosure Return
6 October 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 30/09/2023
6 October 2023
Transaction in own shares
5 October 2023
Next Day Disclosure Return
5 October 2023
Transaction in own shares
4 October 2023
Next Day Disclosure Return
4 October 2023
Transaction in own shares
3 October 2023
Next Day Disclosure Return
3 October 2023
Transaction in own shares
3 October 2023
Voting Rights and Capital
3 October 2023
Next Day Disclosure Return
3 October 2023
Transaction in own shares
29 September 2023
Next Day Disclosure Return
29 September 2023
Transaction in own shares
28 September 2023
Next Day Disclosure Return
28 September 2023
Transaction in own shares
27 September 2023
Next Day Disclosure Return
27 September 2023
Transaction in own shares
26 September 2023
Interim dividend for the 2023 half year
26 September 2023
Next Day Disclosure Return
26 September 2023
Transaction in own shares
25 September 2023
Next Day Disclosure Return
25 September 2023
Transaction in own shares
22 September 2023
Next Day Disclosure Return
22 September 2023
Transaction in own shares
21 September 2023
Next Day Disclosure Return
21 September 2023
Director/PDMR Shareholding
21 September 2023
Transaction in own shares
20 September 2023
Next Day Disclosure Return
20 September 2023
Transaction in own shares
19 September 2023
Grant of Share Awards and Options
19 September 2023
Next Day Disclosure Return
19 September 2023
Director/PDMR Shareholding
19 September 2023
Transaction in own shares
18 September 2023
Next Day Disclosure Return
18 September 2023
Transaction in own shares
15 September 2023
Next Day Disclosure Return
15 September 2023
Transaction in own shares
14 September 2023
Next Day Disclosure Return
14 September 2023
Director/PDMR Shareholding
14 September 2023
Transaction in own shares
13 September 2023
Next Day Disclosure Return
13 September 2023
Director/PDMR Shareholding
13 September 2023
Transaction in own shares
12 September 2023
Next Day Disclosure Return
12 September 2023
Transaction in own shares
11 September 2023
Next Day Disclosure Return
11 September 2023
Transaction in own shares
8 September 2023
Next Day Disclosure Return
8 September 2023
Transaction in Own Shares
7 September 2023
Next Day Disclosure Return
7 September 2023
Transaction in Own Shares
6 September 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/08/2023
6 September 2023
Next Day Disclosure Return
6 September 2023
Transaction in Own Shares
5 September 2023
Next Day Disclosure Return
5 September 2023
Publication of Supplementary Prospectus
5 September 2023
Transaction in Own Shares
4 September 2023
Next Day Disclosure Return
4 September 2023
Voting Rights and Capital
4 September 2023
Transaction in Own Shares
1 September 2023
Next Day Disclosure Return
1 September 2023
Transaction in own shares
31 August 2023
Standard Chartered PLC announces changes to its Board
31 August 2023
Next Day Disclosure Return
31 August 2023
Transaction in own shares
30 August 2023
Next Day Disclosure Return
30 August 2023
Transaction in own shares
28 August 2023
Standard Chartered announces sale of its global aviation finance leasing business to AviLease
28 August 2023
Next Day Disclosure Return
28 August 2023
Transaction in Own Shares
25 August 2023
Next Day Disclosure Return
25 August 2023
Transaction in Own Shares
24 August 2023
Next Day Disclosure Return
24 August 2023
Transaction in Own Shares
23 August 2023
Next Day Disclosure Return
23 August 2023
Transaction in own shares
22 August 2023
Your Communications
22 August 2023
Currency Election Form
22 August 2023
Notice of Availability to Non-Registered Holders
22 August 2023
Notice of Availability to Shareholders
22 August 2023
Half Year Report 2023
22 August 2023
Next Day Disclosure Return
22 August 2023
Transaction in own shares
21 August 2023
Next Day Disclosure Return
21 August 2023
Transaction in own shares
18 August 2023
Next Day Disclosure Return
18 August 2023
Transaction in own shares
17 August 2023
Next Day Disclosure Return
17 August 2023
Transaction in own shares
16 August 2023
Next Day Disclosure Return
16 August 2023
Transaction in Own Shares
15 August 2023
Next Day Disclosure Return
15 August 2023
HY 2023 Pillar 3 Disclosures
15 August 2023
Transaction in Own Shares
14 August 2023
Next Day Disclosure Return
14 August 2023
Transaction in Own Shares
11 August 2023
Next Day Disclosure Return
11 August 2023
Transaction in Own Shares
10 August 2023
Next Day Disclosure Return
10 August 2023
Transaction in own shares
9 August 2023
Next Day Disclosure Return
9 August 2023
Transaction in Own Shares
8 August 2023
Next Day Disclosure Return
8 August 2023
Transaction in Own Shares
7 August 2023
Director/PDMR Shareholding
7 August 2023
Next Day Disclosure Return
7 August 2023
Transaction in Own Shares
4 August 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/07/2023
4 August 2023
Next Day Disclosure Return
4 August 2023
Transaction in Own Shares
3 August 2023
Next Day Disclosure Return
3 August 2023
Transaction in Own Shares
2 August 2023
Next Day Disclosure Return
2 August 2023
Voting Rights and Capital
2 August 2023
Transaction in Own Shares
1 August 2023
Next Day Disclosure Return
1 August 2023
Transaction in own shares
31 July 2023
Share Buy-back
31 July 2023
Next Day Disclosure Return
31 July 2023
Publication of Supplementary Prospectus
31 July 2023
Transaction in own shares
28 July 2023
Next Day Disclosure Return
28 July 2023
2023 Half Year Report
28 July 2023
Interim dividend for the 2023 half year
28 July 2023
Results for the First Half and Second Quarter Ended 30 June 2023 – Part 2
28 July 2023
Results for the First Half and Second Quarter Ended 30 June 2023 – Part 1
28 July 2023
Transaction in own shares
27 July 2023
Next Day Disclosure Return
27 July 2023
Transaction in own shares
26 July 2023
Next Day Disclosure Return
26 July 2023
Transaction in own shares
25 July 2023
Next Day Disclosure Return
25 July 2023
Presentation of Financial Information
25 July 2023
Transaction in own shares
24 July 2023
Next Day Disclosure Return
24 July 2023
Transaction in own Shares
21 July 2023
Next Day Disclosure Return
21 July 2023
Transaction in own shares
20 July 2023
Next Day Disclosure Return
20 July 2023
Transaction in own shares
19 July 2023
Next Day Disclosure Return
19 July 2023
Transaction in own shares
18 July 2023
Next Day Disclosure Return
18 July 2023
Transaction in own shares
17 July 2023
Next Day Disclosure Return
17 July 2023
Date of Board Committee Meeting
17 July 2023
Transaction in own shares
14 July 2023
Next Day Disclosure Return
14 July 2023
Transaction in Own Shares
13 July 2023
Next Day Disclosure Return
13 July 2023
Transaction in own shares
12 July 2023
Next Day Disclosure Return
12 July 2023
Statement on the Bank of England 2022 stress test results
12 July 2023
Transaction in own shares
11 July 2023
Next Day Disclosure Return
11 July 2023
Transaction in own shares
10 July 2023
Next Day Disclosure Return
10 July 2023
Transaction in own shares
7 July 2023
Next Day Disclosure Return
7 July 2023
Transaction in own shares
6 July 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 30/06/2023
6 July 2023
Next Day Disclosure Return
6 July 2023
(Revised) Next Day Disclosure Return
6 July 2023
Transaction in Own Shares
5 July 2023
Next Day Disclosure Return
5 July 2023
Publication of Final Terms
5 July 2023
Voting Rights and Capital
5 July 2023
Transaction in Own Shares
4 July 2023
Next Day Disclosure Return
4 July 2023
Transaction in Own Shares
3 July 2023
Next Day Disclosure Return
3 July 2023
Transaction in own shares
30 June 2023
Next Day Disclosure Return
30 June 2023
Transaction in Own Shares
29 June 2023
Next Day Disclosure Return
29 June 2023
Transaction in own shares
28 June 2023
Next Day Disclosure Return
28 June 2023
Transaction in own shares
27 June 2023
Next Day Disclosure Return
27 June 2023
Transaction in own shares
26 June 2023
Next Day Disclosure Return
26 June 2023
Transaction in own shares
23 June 2023
Next Day Disclosure Return
23 June 2023
Transaction in Own Shares
23 June 2023
Next Day Disclosure Return
23 June 2023
Transaction in Own Shares
21 June 2023
Next Day Disclosure Return
21 June 2023
Transaction in Own Shares
20 June 2023
Next Day Disclosure Return
20 June 2023
Transaction in Own Shares
19 June 2023
Synthetic USD LIBOR for 6.409% preference shares
19 June 2023
Notice of redemption
19 June 2023
Intention to redeem undated Floating Rate
19 June 2023
Next Day Disclosure Return
19 June 2023
Block Listing Six Monthly Return
19 June 2023
Transaction in Own Shares
16 June 2023
Publication of Prospectus
16 June 2023
Next Day Disclosure Return
16 June 2023
Transaction in Own Shares
15 June 2023
Next Day Disclosure Return
15 June 2023
Publication of Final Terms
15 June 2023
Transaction in Own Shares
14 June 2023
Next Day Disclosure Return
14 June 2023
Transaction in Own Shares
13 June 2023
Next Day Disclosure Return
13 June 2023
Transaction in Own Shares
12 June 2023
Next Day Disclosure Return
12 June 2023
Transaction in own shares
9 June 2023
Next Day Disclosure Return
9 June 2023
Transaction in own shares
8 June 2023
Next Day Disclosure Return
8 June 2023
Transaction in own shares
7 June 2023
Next Day Disclosure Return
7 June 2023
Voting Rights and Capital
7 June 2023
Transaction in Own Shares
6 June 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/05/2023
6 June 2023
Next Day Disclosure Return
6 June 2023
Transaction in Own Shares
5 June 2023
Next Day Disclosure Return
5 June 2023
Transaction in Own Shares
2 June 2023
Next Day Disclosure Return
2 June 2023
Transaction in own shares
1 June 2023
Next Day Disclosure Return
1 June 2023
Transaction in own shares
31 May 2023
Next Day Disclosure Return
31 May 2023
Transaction in own shares
29 May 2023
Next Day Disclosure Return
29 May 2023
Transaction in own shares
29 May 2023
Next Day Disclosure Return
29 May 2023
Transaction in own shares
25 May 2023
Next Day Disclosure Return
25 May 2023
Transaction in own shares
24 May 2023
Next Day Disclosure Return
24 May 2023
Transaction in own shares
23 May 2023
Next Day Disclosure Return
23 May 2023
Transaction in Own Shares
22 May 2023
Next Day Disclosure Return
22 May 2023
Transaction in Own Shares
19 May 2023
Next Day Disclosure Return
19 May 2023
Asia Investor & Analyst Seminar
19 May 2023
Transaction in own shares
18 May 2023
Next Day Disclosure Return
18 May 2023
Transaction in own shares
17 May 2023
Next Day Disclosure Return
17 May 2023
Transaction in own shares
16 May 2023
Next Day Disclosure Return
16 May 2023
Director/PDMR Shareholding
16 May 2023
Asia Investor & Analyst Event
16 May 2023
Transaction in own shares
15 May 2023
Next Day Disclosure Return
15 May 2023
Director/PDMR Shareholding
15 May 2023
Transaction in own shares
12 May 2023
Next Day Disclosure Return
12 May 2023
Transaction in own shares
11 May 2023
Next Day Disclosure Return
11 May 2023
Publication of Final Terms
11 May 2023
Transaction in own shares
10 May 2023
Next Day Disclosure Return
10 May 2023
Transaction in Own Shares
8 May 2023
Next Day Disclosure Return
8 May 2023
Director/PDMR Shareholding
8 May 2023
Voting Rights and Capital
8 May 2023
Transaction in Own Shares
5 May 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 30/04/2023
5 May 2023
Next Day Disclosure Return
5 May 2023
Transaction in Own Shares
4 May 2023
Next Day Disclosure Return
4 May 2023
Transaction in Own Shares
4 May 2023
Articles of Association
4 May 2023
Result of AGM – Resolutions Passed at Annual General Meeting Wednesday 3 May 2023
3 May 2023
1Q 2023 Pillar 3 Disclosures
3 May 2023
List of Directors and their Roles and Functions
3 May 2023
Standard Chartered PLC announces changes to its Committees
3 May 2023
Next Day Disclosure Return
3 May 2023
Transaction in Own Shares
2 May 2023
Next Day Disclosure Return
2 May 2023
Transaction in Own Shares
28 April 2023
Next Day Disclosure Return
28 April 2023
Transaction in Own Shares
27 April 2023
COMPANY INFORMATION SHEET
27 April 2023
Modifications to the Rules Governing the Listing of Securities on The Stock Exchange of Hong Kong Limited (the “Exchange”) the subject of a conditional waiver granted by the Exchange on 16 April 2008 to enable Standard Chartered PLC (the “Company”) to hold treasury shares
27 April 2023
Next Day Disclosure Return
27 April 2023
Publication of Supplementary Prospectus
27 April 2023
Transaction in Own Shares
26 April 2023
Next Day Disclosure Return
26 April 2023
Interim Management Statement – First Quarter 2023 Results
26 April 2023
Transaction in Own Shares
25 April 2023
Next Day Disclosure Return
25 April 2023
Transaction in Own Shares
24 April 2023
Next Day Disclosure Return
24 April 2023
Transaction in Own Shares
21 April 2023
Next Day Disclosure Return
21 April 2023
Transaction in Own Shares
20 April 2023
2022 Final Dividend
20 April 2023
Next Day Disclosure Return
20 April 2023
Transaction in Own Shares
19 April 2023
Next Day Disclosure Return
19 April 2023
Transaction in Own Shares
18 April 2023
Next Day Disclosure Return
18 April 2023
Transaction in Own Shares
17 April 2023
Next Day Disclosure Return
17 April 2023
Transaction in Own Shares
14 April 2023
Next Day Disclosure Return
14 April 2023
Transaction in Own Shares
13 April 2023
Next Day Disclosure Return
13 April 2023
Transaction in Own Shares
12 April 2023
Next Day Disclosure Return
12 April 2023
Transaction in Own Shares
12 April 2023
Voting Rights and Capital
11 April 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/03/2023
11 April 2023
Next Day Disclosure Return
11 April 2023
Transaction in own shares
6 April 2023
Presentation of Financial Information
6 April 2023
Next Day Disclosure Return
6 April 2023
Transaction in Own Shares
6 April 2023
Next Day Disclosure Return
6 April 2023
Transaction in Own Shares
4 April 2023
Next Day Disclosure Return
4 April 2023
Next Day Disclosure Return
4 April 2023
Transaction in own shares
3 April 2023
U.S.$1,000,000,000 Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (ISIN: US853254BH21, USG84228CX43, Issue Date: 18 January 2017, Stock code: 05348) Notice of Completion of Redemption of Securities and Withdrawal of Listing
3 April 2023
Next Day Disclosure Return
3 April 2023
Next Day Disclosure Return
3 April 2023
Transaction in own shares
31 March 2023
Next Day Disclosure Return
31 March 2023
Transaction in Own Shares
30 March 2023
WAIVERS FROM STRICT COMPLIANCE WITH RULES 17.03A, 17.03B(1), 17.03E AND NOTE (1) TO 17.03(18) IN RELATION TO THE EMPLOYEE SHARE SCHEMES
30 March 2023
Next Day Disclosure Return
30 March 2023
Transaction in Own Shares
29 March 2023
Next Day Disclosure Return
29 March 2023
Notice of Annual General Meeting 2023
29 March 2023
Transaction in Own Shares
28 March 2023
Next Day Disclosure Return
28 March 2023
Transaction in Own Shares
27 March 2023
Notice of Annual General Meeting 2023
27 March 2023
Your Communications
27 March 2023
Currency Election Form
27 March 2023
Notice of Availability to Non-Registered Holders
27 March 2023
Notice of Availability to Shareholders
27 March 2023
Form of Proxy
27 March 2023
Notice of Annual General Meeting 2023
27 March 2023
Strategic Report 2022
27 March 2023
Annual Report 2022
27 March 2023
WAIVER IN RESPECT OF SPECIFIC MANDATE TO ISSUE EQUITY CONVERTIBLE ADDITIONAL TIER 1 SECURITIES
27 March 2023
Next Day Disclosure Return
27 March 2023
Transaction in Own Shares
24 March 2023
Next Day Disclosure Return
24 March 2023
Transaction in Own Shares
23 March 2023
Next Day Disclosure Return
23 March 2023
Transaction in Own Shares
22 March 2023
Next Day Disclosure Return
22 March 2023
Transaction in Own Shares
21 March 2023
Next Day Disclosure Return
21 March 2023
Transaction in Own Shares
20 March 2023
Next Day Disclosure Return
20 March 2023
Transaction in Own Shares
17 March 2023
Director/PDMR Shareholding
17 March 2023
Update on directors’ remuneration – 2020-22 Long-term incentive plan performance outcome
17 March 2023
Next Day Disclosure Return
17 March 2023
Director/PDMR Shareholding
17 March 2023
Transaction in Own Shares
16 March 2023
Next Day Disclosure Return
16 March 2023
Director/PDMR Shareholding
16 March 2023
Transaction in Own Shares
15 March 2023
Next Day Disclosure Return
15 March 2023
Transaction in Own Shares
14 March 2023
Grant of Share Awards
14 March 2023
Next Day Disclosure Return
14 March 2023
Director/PDMR Shareholding
14 March 2023
Transaction in Own Shares
13 March 2023
Next Day Disclosure Return
13 March 2023
Standard Chartered announces inclusion of 2888-HK shares in the south bound Stock Connect programme
13 March 2023
Transaction in Own Shares
10 March 2023
Next Day Disclosure Return
10 March 2023
Transaction in Own Shares
9 March 2023
Next Day Disclosure Return
9 March 2023
Transaction in Own Shares
8 March 2023
Next Day Disclosure Return
8 March 2023
Transaction in Own Shares
7 March 2023
(Revised) Monthly Return of Equity Issuer on Movements in Securities for the Month ended 28/02/2023
7 March 2023
Next Day Disclosure Return
7 March 2023
Voting Rights and Capital
7 March 2023
Transaction in Own Shares
6 March 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 28/02/2023
6 March 2023
Next Day Disclosure Return
6 March 2023
Transaction in own shares
3 March 2023
Next Day Disclosure Return
3 March 2023
Transaction in Own Shares
2 March 2023
Next Day Disclosure Return
2 March 2023
Transaction in Own Shares
1 March 2023
Redemption by Standard Chartered PLC of USD1,000,000,000 Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (ISIN: US853254BH21, USG84228CX43, Issue Date: 18 January 2017, Stock code: 05348)
1 March 2023
Next Day Disclosure Return
1 March 2023
FY 2022 Pillar 3 Disclosures
1 March 2023
Transaction in Own Shares
28 February 2023
Next Day Disclosure Return
28 February 2023
Transaction in Own Shares
27 February 2023
(Revised) Next Day Disclosure Return
27 February 2023
Next Day Disclosure Return
27 February 2023
Redemption of U.S.$1,250,000,000 3.885 per cent. Fixed-to-Floating Rate Notes due 2024 (the “Notes”) issued by Standard Chartered PLC (“SCPLC”) ISIN: XS1793294767 and US853254BJ86
27 February 2023
Director Declaration
27 February 2023
Transaction in Own Shares
24 February 2023
Next Day Disclosure Return
24 February 2023
Director/PDMR Shareholding
24 February 2023
Transaction in Own Shares
23 February 2023
Next Day Disclosure Return
23 February 2023
Transaction in Own Shares
22 February 2023
Next Day Disclosure Return
22 February 2023
Transaction in Own Shares
20 February 2023
Publication of Supplementary Prospectus
17 February 2023
Share Buy-back
16 February 2023
Terms of Reference of Governance and Nomination Committee
16 February 2023
2022 Annual Report
16 February 2023
Full-Year and Fourth Quarter 2022 Results – Additional Financial information – Part 2
16 February 2023
Full-Year and Fourth Quarter 2022 Results – Additional Financial information – Part 1
16 February 2023
2022 Final Dividend
16 February 2023
Full-Year and Fourth Quarter 2022 Results
10 February 2023
CLARIFICATION ANNOUNCEMENT IN RELATION TO A POSSIBLE OFFER FOR STANDARD CHARTERED PLC
7 February 2023
Voting Rights and Capital
6 February 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/01/2023
6 February 2023
Proposed record date in connection with the payment of 2022 Final Dividend
6 February 2023
Date of Board Committee Meeting
31 January 2023
List of Directors and their Roles and Functions
11 January 2023
Standard Chartered explores Strategic Alternatives for Aviation Unit
10 January 2023
Publication of Final Terms
9 January 2023
Voting Rights and Capital
6 January 2023
Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/12/2022
5 January 2023
Announcement in relation to a possible offer For Standard Chartered PLC
4 January 2023
Results of Class Meetings
4 January 2023
Director/PDMR Shareholding