Aviva plc (the ?Issuer?) announced that notification has been given to the holders of the ?700,000,000 3.875% Dated Tier 2 Reset Notes (the ?Notes'') that it shall redeem the Notes in full on 3 July 2024 (i.e. the first Optional Redemption Date) at their principal amount together with any accrued interest to (but excluding) 3 July 2024. In addition, the Issuer will apply to the Financial Conduct Authority (the ?FCA?) to cancel the listing of the Notes on the official list of the FCA.