21 October 2025
Notice of Redemption - 3.375 per cent. Dated Tier 2 Notes
Aviva plc to redeem €900,000,000 3.375 per cent. Dated Tier 2 Fixed to Floating Rate Notes (ISIN: XS1242413679, Common Code: 124241367)
Aviva plc (the "Issuer") announces that notification has been given to the holders of the €900,000,000 3.375 per cent. Dated Tier 2 Fixed to Floating Rate Notes (the "Notes'') that it shall redeem the Notes in full on 4 December 2025 (i.e. the first Optional Redemption Date) at their principal amount together with any accrued interest to (but excluding) 4 December 2025.
In addition, the Issuer will apply to the Financial Conduct Authority (the "FCA") to cancel the listing of the Notes on the official list of the FCA.
Capitalised terms not otherwise defined herein have the meanings given to them in the terms and conditions of the Notes.
-ends-
Enquiries:
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Media: |
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Andrew Reid |
+44 (0)7800 694 276 |
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Sarah Swailes |
+44 (0)7800 694 859 |
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Investors and Analysts: |
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Greg Neilson |
+44 (0)7800 694 564 |
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Joel von Sternberg |
+44 (0)7384 231 238 |
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Michael O'Hara |
+44 (0)7387 234 388 |
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