Final terms and supplements

HSBC issues debt instruments via issuance programmes and standalone documents. Copies of the relevant final terms or prospectus supplements for individual issuances can be found below. Copies of base documentation are available on our Issuance programmes page.

141 to 146 of 146 items
Maturity date Issue date Amount Security ISIN Item
09 Mar 2021
USD 1,000m
4.000% Perpetual Contingent Convertible Securities (callable September 2026 and every five years thereafter)
ISIN US404280CP20 CUSIP 404280 CP2
Prospectus supplement
09 Mar 2021
USD 1,000m
4.700% Perpetual Subordinated Contingent Convertible securities (callable September 2031 and every five years thereafter)
ISIN US404280CQ03 CUSIP 404280 CQ0
Prospectus supplement
27 Feb 2025
USD 1,500m
6.950% Perpetual Subordinated Contingent Convertible Securities (Callable September 2031 to February 2032 and every five years after)
ISIN US404280EV79 CUSIP 404280 EV7
Prospectus supplement
05 Jun 2025
USD 2,000m
7.050% Perpetual Subordinated Contingent Convertible Securities (Callable June 2030 to December 2030 and every five years thereafter)
ISIN US404280FA24 CUSIP 404280FA2
Prospectus Supplement
23 Mar 2018
USD 1,800m
6.500% Perpetual Subordinated Contingent Convertible Securities (Callable March 23, 2028 and Every Five Years Thereafter)
ISIN US404280BP39 CUSIP 404280 BP3
Prospectus supplement
28 Sep 2018
GBP 1,000m
5.875% Perpetual Subordinated Contingent Convertible Securities (Callable 28 September 2026 and Every Five Years Thereafter)
ISIN XS1884698256 CUSIP 404280 BY4
Prospectus supplement