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Maturity Issuer Amount security Reference Available material
17 Jun 2013 HSBC Bank plc USD 2m Auto-Callable Maxi Fixed Coupon XS0862867859 Final terms (15-page PDF 219KB)
18 Jun 2013 HSBC Bank plc USD 0.250m DI Reverse ISIN XS0866361156 Final terms (12-page PDF 45KB)
19 Jun 2013 HSBC France EUR 1,500m 5.75% Senior Notes ISIN FR0010631614 Common code 037110752 Final terms (9-page PDF 995KB)
21 Jun 2013 HSBC Bank plc HKD 2,000,000 Reverse Convertible ISIN XS0932678773 Final terms (11-page PDF 28KB)
24 Jun 2013 HSBC Bank plc EUR 6.010m Autocallable Recovery Short1/Strike Put ISIN XS0831826101 Final terms (14-page PDF 59KB)
28 Jun 2013 HSBC Bank plc EUR 11,280,000 Warrants - European Digital Call ISIN GB00BB0RG093 Final terms (8-page PDF 36KB)
28 Jun 2013 HSBC Bank plc EUR 0.518m DI Reverse - Auto-Callable ISIN XS0833099111 Final terms (13-page PDF 48KB)
01 Jul 2013 HSBC Bank plc EUR 673,000 Reverse 1/Strike Put ISIN XS0910637353 /NWP28524 Final terms (14-page PDF 55KB)
01 Jul 2013 HSBC Bank plc EUR 820,000 Reverse 1/Strike Put ISIN XS0910637940/ NWP28525 Final terms (12-page PDF 48KB)
03 Jul 2013 HSBC Bank plc EUR 0.869m DI Reverse - Auto-Callable Notes ISIN XS0796902442 Final terms (12-page PDF 50KB)