Standard Capital Markets filed a corrigendum to its Reg. 30 NCD redemption disclosure, correcting post-redemption balance figures.
Revised balances are uniformly lower by 8,000 NCDs across all five redemption dates from February 21 to March 23, 2026.
Final corrected outstanding NCD balance as of March 23, 2026 stands at 23,202, revised down from earlier disclosed 31,202.