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MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
5 Dec 2014 HSBC Bank plc USD 53,880,000 PALMS932 T2 ISIN XS0715440367 Final terms (18-page PDF 72KB)
5 Dec 2014 HSBC Bank plc USD 134,700,000 PALMS932 T3 ISIN XS0715440367 Tranche 3 Final terms (18-page PDF 72KB)
9 Dec 2014 HSBC Bank plc USD 3,100,000 Autocallable Recovery Short DI Put ISIN XS0998952096 Pricing supplement (14-page PDF 194KB)
10 Dec 2014 HSBC Bank plc USD 3m Phoenix Monthly Review Notes ISIN XS0836767011 Preference shares (16-page PDF 211KB)
10 Dec 2014 HSBC Bank plc USD 0.795m Autocallable Linked Note ISIN XS0862791935 Final terms (14-page PDF 57KB)
11 Dec 2014 HSBC Bank plc USD 300,000 Bear Note ISIN XS1074540128 Pricing supplement (10-page PDF 42KB)
17 Dec 2014 HSBC Bank plc USD 650,000 Callable Maxi DI Reverse ISIN XS1075944691 Pricing supplement (14-page PDF 57KB)
22 Dec 2014 HSBC Bank plc USD 1,400,000 Maxi Leverage Airbag + ISIN XS1006578139 Pricing supplement (10-page PDF 117KB)
22 Dec 2014 HSBC Bank plc USD 0.1009m Autocallable Linked Note ISIN XS0868634212 Final terms (15-page PDF 62KB)
29 Dec 2014 HSBC Bank plc USD 1.35m Step-Down Bonus Autocall ISIN XS0869859420 Final terms (15-page PDF 60KB)