Dated: 22 January 2021
NOTICE OF REDEMPTION
RELX Finance B.V. (the "Issuer")
€500,000,000 0.375 per cent. guaranteed notes due 2021
(ISIN Code: XS1576837725) (the "Notes" and the holders thereof, the "Noteholders")
Reference is made to the Terms and Conditions of the Notes (the "Conditions"). Unless otherwise defined herein, capitalised terms used in this notice shall have the meanings given to them in the Conditions.
The Issuer hereby gives notice that it is exercising its option to redeem all currently outstanding Notes pursuant to Condition 7.3(a) of the Conditions (Redemption at the Option of the Issuer (Issuer Maturity Par Call and Issuer Make-Whole Call)). The Notes will be redeemed on 24 February 2021 (the "Issuer Maturity Par Call Redemption Date") at their principal amount, together with interest accrued to the Issuer Maturity Par Call Redemption Date.
This Notice is irrevocable and shall be governed by English law.
For further information, please contact Ken Fogarty at Kenneth.Fogarty@relx.com or Suzanne Perry at Suzanne.Perry@relx.com.
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