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MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
28 Jan 2025 HSBC Bank plc USD 7,000,000 AWP1347 ISIN GB00BVSS7Z66 Final terms (23-page PDF 421KB)
30 Jan 2025 HSBC Bank plc USD 28,000,000 AWP1349 ISIN GB00BVV29Q09 Final terms (23-page PDF 345KB)
3 Feb 2025 HSBC Bank plc USD 2,541,200 AWP1348 ISIN GB00BVTVW044 Final terms (23-page PDF 345KB)
10 Feb 2025 HSBC Bank plc USD 50,602,500 AWP1351 ISIN GB00BVG7GL43 Final terms (20-page PDF 396KB)
12 Feb 2025 HSBC Bank plc USD 22,718,000 AWP1352 ISIN GB00BVXLF349 Final terms (20-page PDF 115KB)
13 Feb 2025 HSBC Bank plc USD 147,682 AWP1353 ISIN GB00BVXW3K02 Final terms (19-page PDF 113KB)
20 Feb 2025 HSBC Bank plc USD 30,000,000 Dual Range Accrual Notes ISIN XS1190982543 Pricing supplement (10-page PDF 108KB)
25 Feb 2025 HSBC Bank plc USD 4,240,000 AWP1354 ISIN GB00BW1YXV63 Final terms (23-page PDF 116KB)
25 Feb 2025 HSBC Bank plc USD 5,000,000 AWP1355 ISIN GB00BW1YYJ19 Final terms (23-page PDF 115KB)
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)
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