GSH Corporation Limited announced the pricing of the SGD 30,000,000 5.20%. Fixed Rate Notes due 2022 ("Series 004 Tranche 002 Notes") (to be consolidated and forming a single series with the existing SGD 50,000,000 5.20 Per Cent. Fixed Rates Notes due 2022 issued on 21 October 2019) to be issued by the Company under the SGD 800,000,000 multicurrency medium term note programme established by the Company on 8 April 2016. The Series 004 Tranche 002 Notes will be issued at an issue price of 100 per cent. of their principal amount plus accrued interest from (and including) 21 April 2020 to (but excluding) 17 September 2020 and in denominations of SGD 250,000. The Series 004 Tranche 002 Notes will bear interest at a fixed rate of 5.20% per annum payable semi-annually in arrear. The Series 004 Tranche 002 Notes are expected to be issued on 17 September 2020 and will mature on 21 October 2022.