2021 Tier 1 debt investor

On 22 July 2021, esure Group plc (the "Group" or the "Issuer") issued the pricing of £75,000,000 GBP Fixed Rate Reset Perpetual Restricted Tier 1 Contingent Convertible Notes (the “Notes”) at a coupon of 6.000%.

To view the Offering Memorandum, click here.

2014 Tier 2 debt investor

On 18 December 2014, esure Group plc issued £125,000,000 6.75 per cent. Subordinated Notes due 2024.

The notes are listed on the London Stock Exchange.

To view the debt prospectus, click here.