Alt+0 to show this section, Tab to navigate forward, Shift+Tab key to navigate backward, Enter to access link, and Esc to reset

Menu
Update
Reset filters
Update
1831 to 1840 of 1916 records
Reset filters
Download selected
MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
19 Nov 2028 HSBC Bank plc EUR 50,000,000 Credit Linked Note ISIN XS0992855592 Pricing supplement (9-page PDF 137KB)
25 Sep 2029 HSBC France EUR 51,500,000 Special Request Hybrid Equity/Rate ISIN FR0012170728 Pricing supplement (14-page PDF 164KB)
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)
17 May 2032 HSBC Holdings plc USD 488m 7.625% Subordinated Notes ISIN US404280AF65 Common code 404280AF6 Offering memorandum (50-page PDF 4MB)
Prospectus (36-page PDF 3MB)
16 Jul 2032 HSBC Bank plc USD 50m Fixed Rate Note ISIN XS0801997080 Final terms (8-page PDF 28KB)
19 Jul 2032 HSBC Bank plc USD 30m Fixed Rate Note ISIN XS0804150109 Final terms (8-page PDF 28KB)
23 Aug 2032 HSBC Bank plc USD 43m Callable Accreting Note ISIN XS0816481666 Final terms (10-page PDF 105KB)
27 Nov 2032 HSBC Holdings plc USD 222m 7.350% Subordinated Notes ISIN US404280AE90 Common code 404280AE9 Offering memorandum (50-page PDF 4MB)
Prospectus (36-page PDF 3MB)
22 Aug 2033 HSBC Bank plc GBP 500m 5.375% Subordinated Notes ISIN XS0174470764 Common code 017447076 Pricing supplement (7-page PDF 41KB)
1 Nov 2034 HSBC Bank USA, NA USD 1,000m 5.875% Subordinated Global Bank Notes ISIN US4042Q1AA55 Cusip 4042Q1AA5 Pricing supplement (4-page PDF 259KB)