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
Update
11 to 16 of 16 records
Reset filters
MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
29 Sep 2021 HSBC Bank Canada CAD 1,000m 2.908% Deposit Note ISIN CA40427HSU81 CUSIP 40427HSU8 Term sheet (2-page PDF 85KB)
10 Apr 2022 HSBC Bank Canada CAD 400m 4.80% Subordinated Debentures, Series D (callable 10 April 2017) ISIN CA40427HLZ42 Common code 050378888 Cusip 40427HLZ4 Prospectus supplement (11-page PDF 85KB)
Prospectus supplement - French (11-page PDF 64KB)
1 Nov 2083 HSBC Bank Canada CAD 39,525m Subordinated floating rate note (callable monthly) ISIN CA21113KAB13 Prospectus (13-page PDF 794KB)
HSBC Bank Canada CAD 175m 5.1% Non-Cumulative Class 1 Preferred Shares, Series C (callable from 30 June 2010 at a premium; from 30 June 2014 at par) Common code 041139714 Cusip 40427H509 Prospectus (18-page PDF 99KB)
Prospectus - French (19-page PDF 128KB)
HSBC Bank Canada CAD 175m 5.0% Non-Cumulative Class 1 Preferred Shares, Series D (callable from 31 December 2010 at a premium; from 31 December 2014 at par) ISIN CA404227H7076 Cusip 40427H707 Prospectus (18-page PDF 90KB)
Prospectus - French (19-page PDF 129KB)
HSBC Bank Canada CAD 200m 5.149% HSBC Canada Asset Trust Securities, Series 2015 (callable 30 June 2015) ISIN CA40428RAA82 Cusip 40428RAA8 Prospectus (52-page PDF 177KB)