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Maturity Issuer Amount security Reference Available material
15 Jan 2021 HSBC Finance Corporation USD 2,938.7m 6.676% Subordinated Notes ISIN US40429CGB28 Common code 056828818 Cusip 40429CGB2 Offering memorandum (46-page PDF 235KB)
15 Jan 2021 HSBC Bank plc EUR 1,500m 4.000% Senior Notes ISIN XS0526606537 Common code 052660653 Final terms (11-page PDF 835KB)
19 Jan 2021 HSBC Bank plc USD 1,000m 4.75% Senior Notes ISIN US44328MAK09 Final terms (12-page PDF 239KB)
25 Jan 2021 HSBC Bank plc EUR 5,000,000 Average Growth Protected ISIN GB00BJSP0S71 Pricing supplement (9-page PDF 41KB)
16 Feb 2021 HSBC Finance Corporation JPY 15,000m 2.54% Senior Notes ISIN JP584125C621 Common code 031489644 Conditions of bonds (19-page PDF 104KB)
2 Mar 2021 HSBC Bank plc USD 7m LEPO - Warrants ISIN GB00B3V8PF35 Final terms (71-page PDF 262KB)
2 Mar 2021 HSBC Bank plc USD 7m LEPO - Warrants ISIN GB00B43VYM77 Final terms (71-page PDF 261KB)
2 Mar 2021 HSBC Bank plc USD 7m LEPO - Warrants ISIN GB00B3V8PF35 Final terms (71-page PDF 262KB)
2 Mar 2021 HSBC Bank plc USD 7m LEPO - Warrants ISIN GB00B43VYM77 Final terms (71-page PDF 261KB)
16 Mar 2021 HSBC Bank Canada CAD 200m 4.94% Subordinated Debentures, Series C (callable 16 March 2016) ISIN CA40427HKK81 Common code 038821091 Cusip 40427HKK8 Trust indenture (14-page PDF 55KB)