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ISSUER, AMOUNT and SECURITY

MATURITY ISSUER AMOUNT SECURITY REFERENCE AVAILABLE MATERIAL
23 Apr 2043 HSBC Bank plc USD 30m Accreting Note - Callable ISIN XS0921302401
Final terms (10-page PDF 128KB)
24 Apr 2043 HSBC Bank plc USD 20m Accreting Note - Callable ISIN XS0918580027
Final terms (9-page PDF 123KB)
13 May 2043 HSBC Bank plc USD 30m Accreting Note - Callable ISIN XS0931187826
Final terms (9-page PDF 27KB)
23 May 2043 HSBC Bank plc USD 20m Accreting Note - Callable ISIN XS0933571670
Final terms (9-page PDF 28KB)
22 Jul 2043 HSBC Bank plc USD 30m Accreting Note - Callable ISIN XS0953257184
Pricing supplement (7-page PDF 63KB)
26 Sep 2043 HSBC Bank plc USD 50m Zero Coupon Callable Note ISIN XS0972827819
Pricing supplement (7-page PDF 58KB)
30 Sep 2043 HSBC Bank plc USD 50m Zero Coupon Callable Note ISIN XS0973215824
Pricing supplement (7-page PDF 64KB)
18 Oct 2043 HSBC Bank plc USD 50m Zero Coupon Callable Notes ISIN XS0979550000
Pricing supplement (7-page PDF 58KB)
21 Oct 2043 HSBC Bank plc USD 30m Zero Coupon Callable Note ISIN XS0979758330
Pricing supplement (7-page PDF 58KB)
17 Jan 2044 HSBC Bank plc USD 20m Autocallable Review Notes ISIN XS1013927329
Pricing supplement (7-page PDF 126KB)
22 Jan 2044 HSBC Bank plc USD 50m Autocallable Review Notes ISIN XS1014966607
Pricing supplement (7-page PDF 105KB)
23 Jan 2044 HSBC Bank plc USD 35m Autocallable Review Notes ISIN XS1015936906
Pricing supplement (7-page PDF 106KB)
23 Jan 2044 HSBC Bank plc USD 30m Autocallable Review Notes ISIN XS1015951616
Pricing supplement (7-page PDF 106KB)
23 Jan 2044 HSBC Bank plc USD 35m Autocallable Review Notes ISIN XS1016042506
Pricing supplement (7-page PDF 105KB)
23 Jan 2044 HSBC Bank plc USD 20m Autocallable Review Notes ISIN XS1020776958
Pricing supplement (7-page PDF 106KB)
29 Jan 2044 HSBC Bank plc USD 30m Autocallable Review Notes ISIN XS1023790048
Pricing supplement (7-page PDF 105KB)
6 Feb 2044 HSBC Bank plc USD 20m Autocallable Review Notes ISIN XS1023279182
Pricing supplement (7-page PDF 105KB)
4 Mar 2044 HSBC Bank plc USD 10m Autocallable Review Notes ISIN XS1039257545
Pricing supplement (7-page PDF 126KB)
20 Mar 2044 HSBC Bank plc USD 20m Autocallable Notes ISIN XS1045083323
Pricing supplement (7-page PDF 106KB)
26 Jun 2044 HSBC Bank plc USD 20m Zero Callable Accreting Note ISIN XS1079211097
Pricing supplement (7-page PDF 106KB)
26 Jun 2044 HSBC Bank plc USD 14m Zero Callable Accreting Note ISIN XS1079214273
Pricing supplement (7-page PDF 106KB)
14 Sep 2045 HSBC Bank plc USD 100m Zero Coupon Callable Notes ISIN XS1285225063
Pricing supplement (9-page PDF 140KB)
25 Jan 2046 HSBC Bank plc USD 250m Zero Coupon Callable Notes ISIN XS1341429444
Pricing supplement (12-page PDF 1MB)
17 Feb 2046 HSBC Bank plc USD 40m Zero Coupon Callable Notes ISIN XS1361557256
Pricing supplement (8-page PDF 252KB)
24 Mar 2046 HSBC Bank plc GBP 600m 4.75% Subordinated Notes ISIN XS0247840969 common code 024784096
Final terms (10-page PDF 304KB)
11 Apr 2046 HSBC Bank plc GBP 1.797m Currency warrants linked to GBP/USD exchange rate ISIN GB00BYQBDY99
Pricing supplement (7-page PDF 256KB)
11 Apr 2046 HSBC Bank plc RUB 550m Zero Coupon Callable Notes ISIN XS1387219659
Pricing supplement (12-page PDF 1MB)
10 Jun 2046 HSBC Bank plc USD 300m Credit Linked Note ISIN XS1412419746
Pricing supplement (12-page PDF 1MB)
10 Jun 2046 HSBC Bank plc USD 40m Fixed Rate Note ISIN XS1425278048
Pricing supplement (11-page PDF 151KB)
29 Aug 2046 HSBC Bank plc EUR 25m Zero coupon callable note ISIN XS1481198999
Pricing supplement (9-page PDF 236KB)
2 Feb 2048 HSBC Bank plc AUD 50m Zero Coupon Callable Notes ISIN XS1758607540
Pricing supplement (11-page PDF 144KB)
18 May 2048 HSBC Bank plc EUR 100m Rates ISIN XS1821201974
Pricing supplement (10-page PDF 32KB)
1 Nov 2083 HSBC Bank Canada CAD 39.525m Subordinated floating rate note (callable monthly) ISIN CA21113KAB13
Prospectus (13-page PDF 794KB)
15 Jul 2097 HSBC USA Inc USD 250m 7.2% Subordinated Debentures ISIN US760719BH68 Cusip 760719BH6
Pricing supplement (12-page PDF 2MB)
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)
Notice of redemption (1-page PDF 28KB)
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)
Notice of redemption (1-page PDF 28KB)
HSBC USA Inc USD 517.5m Floating Rate Non-Cumulative Preferred Stock, Series F, minimum dividend 3.5% (callable quarterly) Exchange symbol HBA F Cusip 40428H805 Common code 025873483
Prospectus supplement (63-page PDF 232KB)
HSBC USA Inc USD 373.75m Depositary Shares Each Representing One-Fortieth of a Share of 6.5% Non-Cumulative Preferred Stock, Series H (callable from 01 July 2011) Exchange symbol HBA H Cusip 40428H862 Common code 033258640
Prospectus supplement (76-page PDF 465KB)
HSBC France EUR 16m EUR16m, TSDI, TMO-0.25%, Perpetual ISIN FR0000585333
Term sheet (28-page PDF 2MB)
The Hongkong and Shanghai Banking Corporation USD 400m Primary Capital Undated Floating Rate Notes, Third Series (callable quarterly) ISIN GB0004355490 Common code 001002163
Offering circular (13-page PDF 1MB)