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÷ÈÓ°Ö±²¥ Tier 1
Date of issueISINCurrencyDescription
9 June 1997GB0000044221GBPGBP 125,000,000 8.625 per cent. Non- Cumulative Sterling Preference Shares (PDF - 6.84 MB)
13 February 1996GB0000064393GBPGBP 100,000,000 10.375 per cent. Non-Cumulative Sterling Preference Shares (TAP 1) (PDF - 4.11 MB)
23 October 1995GB0000064393GBPGBP 100,000,000 10.375 per cent. Non-Cumulative Sterling Preference Shares (PDF - 5.01 MB)
÷ÈÓ°Ö±²¥ Tier 2
Date of issueISINCurrencyDescription
14 August 2001XS0133956168GBPGBP 150,000,00 5.875% Subordinated notes due 2031 (PDF - 232 KB)
10 August 2001XS0117973429GBPGBP 100,000,000 Thirty Year Step Up Perpetual Callable Subordinated Notes TAP 1 (PDF - 1.97 MB)
28 September 2000XS0117973429GBPGBP 175,000,000 Thirty Year Step Up Perpetual Callable Subordinated Notes (PDF - 1.44 MB)
26 October 1999US002920AC09USDUSD 1,000,000,000 7.95 per cent. Term Subordinated Securities due October 26 2029 (PDF - 3.08 MB)
21 October 1999XS0103012893GBPGBP 150,000,000 6.50 per cent. Subordinated Notes Due 2030 (PDF - 1.40 MB)
23 October 1995XS0060837068/GB0000272145GBPGBP 200,000,000 10.0625 per cent. Exchangeable Capital Securities, exchangeable into GBP 200,000,000 10.375 per cent. Non-Cumulative Sterling Preference Shares (PDF - 5.01 MB)
Santander UK Group Holdings plc Tier 1
Date of issueISINCurrencyDescription
01/03/2021XS2300344863GBP£450,000,000 Fixed Rate Reset Perpetual Additional Tier 1 Capital Securities (PDF - 2.59 MB)
09/08/2019XS2040071016GBP£500,000,000 Fixed Rate Reset Perpetual Additional Tier 1 Capital Securities (PDF - 1.44 MB)
05/05/2022XS2473776974GBP£750,000,000 Fixed Rate Reset Perpetual Additional Tier 1 Capital Securities (PDF - 841 KB)
03/05/2024XS2810865027GBP£400,000,000 Fixed Rate Reset Perpetual Additional Tier 1 Capital Securities (PDF - 1.27 MB)
24/02/2025XS2993493142GBP£500,000,000 Fixed Rate Reset Perpetual Additional Tier 1 Capital Securities (PDF - 1.00 MB)

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Santander UK Group Holdings plc Tier 2
Date of issueISINCurrencyDescription
15ÌýSeptember 2015XS1291333760USDUSD 1,000,000,000 4.75 per Cent. Fixed Rate Subordinated Notes due 2025 (PDF - 187 KB)
15ÌýSeptember 2015XS1291352711USD

USD 500,000,000 5.625 per Cent. Fixed Rate Subordinated Notes due 2045 (PDF - 187 KB)

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31ÌýMarch 2023XS2601938215GBPGBP 300,000,000 7.869 per Cent. Fixed Rate Subordinated Notes due 2033Ìý (PDF - 284 KB)
12 September 2023XS2680897720GBPGBP 750,000,000 8.296Ìýper Cent. Fixed Rate Subordinated Notes due 2033Ìý (PDF - 56 KB)
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÷ÈÓ°Ö±²¥. Registered Office: 2 Triton Square, Regent's Place, London, NW1 3AN, United Kingdom. Registered Number 2294747. Registered in England and Wales. www.santander.co.uk. Authorised by the Prudential Regulation Authority and regulated by the Financial Conduct Authority and the Prudential Regulation Authority. Our Financial Services Register number is 106054. You can check this on the Financial Services Register by visiting the FCA’s website . Santander and the flame logo are registered trademarks.