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MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
12 Aug 2024 HSBC Bank plc USD 9,890,800 AWP1257 ISIN GB00BQ15V917 Pricing supplement (20-page PDF 88KB)
12 Aug 2024 HSBC Bank plc USD 13,468,500 AWP1258 ISIN GB00BQ15VB33 Final terms (20-page PDF 88KB)
12 Aug 2024 HSBC Bank plc USD 6,075,000 AWP1259 ISIN GB00BQ15VC40 Pricing supplement (21-page PDF 91KB)
15 Aug 2024 HSBC Bank plc USD 1,845,000 AWP1260 ISIN GB00BQ1Y0806 Final terms (21-page PDF 96KB)
19 Aug 2024 HSBC Bank plc USD 10,500,000 AWP1261 ISIN GB00BQ3FVV19 Final terms (20-page PDF 96KB)
20 Aug 2024 HSBC Bank plc USD 72,790 AWP1262 ISIN GB00BQ5BPN76 Final terms (20-page PDF 104KB)
1 May 2025 HSBC Bank plc USD 300m 7.65% Subordinated Notes ISIN US597433AC57 Common code 010576679 Prospectus (part one) (17-page PDF 3MB)
Prospectus (part two) (15-page PDF 5MB)
Prospectus (part three) (19-page PDF 6MB)
18 Mar 2028 HSBC Bank plc USD 20,000,000 Daily Range Accrual ISIN XS0905657291 Final terms (11-page PDF 170KB)
19 Nov 2028 HSBC Bank plc EUR 50,000,000 Credit Linked Note ISIN XS0992855592 Pricing supplement (9-page PDF 137KB)
4 Nov 2030 HSBC Bank plc GBP 350m 5.375% Subordinated Notes (callable 4 November 2025) ISIN XS0204377310 Common code 020437731 Pricing supplement (8-page PDF 342KB)