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

Press tab key to access skip links section. Press Alt+0 to access it anytime.
Menu

Fixed income securities

Update
1471 to 1480 of 1702 records
Reset filters
MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
29 Apr 2025 HSBC Bank plc USD 20,000,000 AWP1381 ISIN GB00BX903W43  Final terms (22-page PDF 114KB)
30 Apr 2025 HSBC Bank plc USD 35,000,000 AWP1377 ISIN GB00BX1CC765 Final terms (21-page PDF 116KB)
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)
22 May 2025 HSBC Bank plc USD 7,000,000 AWP1382 ISIN GB00BY9D0R41 Final terms (21-page PDF 104KB)
22 May 2025 HSBC Bank plc USD 7,000,000 AWP1384 ISIN GB00BY9D0T64 Final terms (22-page PDF 106KB)
22 May 2025 HSBC Bank plc USD 9,000,000 AWP1385 ISIN GB00BY9D0V86 Final terms (22-page PDF 105KB)
12 Jun 2025 HSBC Bank plc USD 2,000,000 Vol Control Delta One ISIN XS1241583381 Pricing supplement (24-page PDF 126KB)
20 Jun 2025 HSBC Bank plc USD 10,000,000 Dual Range CMS/CMS Spread Credit Linked Note ISIN XS1241054128 Pricing supplement (13-page PDF 215KB)
20 Sep 2025 HSBC Bank plc USD 10,000,000 Dual Rane CMS/CMS Spread Credit Linked Note ISIN XS1257143153 Pricing supplement (13-page PDF 215KB)
18 Mar 2028 HSBC Bank plc USD 20,000,000 Daily Range Accrual ISIN XS0905657291 Final terms (11-page PDF 170KB)