The final terms dated 7 May 2024 relating to the issue by Standard Chartered PLC on 14 May 2024 of USD 1,000,000,000, 5.688%. Fixed Rate Reset Notes due 2028, the final terms dated 7 May 2024 relating to the issue by Standard Chartered PLC on 14 May 2024 of $1,500,000,000 5.905 per cent. Fixed Rate Reset Notes due 2035 and the final terms dated 7 May 2024 relating to the issue by Standard Chartered PLC on 14 May 2024 of $500,000,000 Floating Rate Notes due 2028 (together, the "Notes") (together the "Final Terms") have been submitted to the Financial Conduct Authority and are available for viewing.

The Notes have been issued under the $77,500,000,000 debt issuance programme established by Standard Chartered PLC and Standard Chartered Bank.