Centurion Corporation Limited announced redemption of the outstanding SGD 12,250,000 Fixed Rate Notes Due 2022 comprised in the Series 004 Notes issued under the SGD 750,000,000 Multicurrency Debt Issuance Programme of Centurion Corporation Limited. Reference is made to the announcements made by the Company on 21 September 2020, 6 October 2020, 15 October 2020 and 13 January 2021 relating to the Company's intention, pursuant to Condition 6(d) of the Notes, to redeem all of the outstanding Notes on 1 February 2021. The Company announced that it has fully redeemed all of the remaining outstanding Notes and that accordingly, there are no Notes outstanding. Following the redemption, the Notes will be cancelled in their entirety.