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Natwest Group PLC

Capital/Financing Update Oct 22, 2025

4644_rns_2025-10-22_cf927bd7-e50e-435c-aabd-b4c5c92626f2.html

Capital/Financing Update

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National Storage Mechanism | Additional information

RNS Number : 3966E

NatWest Group plc

22 October 2025

NatWest Group plc

22 October 2025

Notice of Redemption

NatWest Group p lc (the "Company")

The Company hereby gives notice to holders of the $1,500,000,000 7.472% Senior Callable Fixed-to-Fixed Reset Rate Notes due 2026 issued by the Company pursuant to the Amended and Restated Indenture dated 13 December 2017 as amended and supplemented by the Tenth Supplemental Indenture dated 10 November 2022 (together, the " Indenture ") (ISIN: US639057AG33 ; CUSIP: 639057AG3 ) (the " Notes ") of the upcoming redemption of all of the outstanding Notes on 10 November 2025. The amount currently outstanding of the Notes is $1,500,000,000 .  

The Company has elected to redeem the Notes on 10 November 2025 in accordance with the Indenture. The Notes are being redeemed pursuant to Section 11.09 of the Indenture.

To view the notice, please click on the link below.

http://www.rns-pdf.londonstockexchange.com/rns/3966E_1-2025-10-22.pdf

For further information, please contact:

Scott Forrest

Head of NatWest Treasury DCM

Tel: +44 (0)7747 455969

Legal Entity Identifier
NatWest Group plc 2138005O9XJIJN4JPN90

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