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.
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| Maturity date | Issuer | Amount | Security | ISIN | Item |
|---|---|---|---|---|---|
| Maturity date | Issuer | Amount | Security | ISIN | Item |
|---|---|---|---|---|---|
| 06 Feb 2044 |
HSBC Bank plc
|
USD 20m |
Autocallable Review Notes |
ISIN XS1023279182
|
Pricing supplement
PDF 105KB 7 pages |
| 04 Mar 2044 |
HSBC Bank plc
|
USD 10m |
Autocallable Review Notes |
ISIN XS1039257545 |
Pricing supplement
PDF 105KB 7 pages |
| 20 Mar 2044 |
HSBC Bank plc
|
USD 20m |
Autocallable Notes |
ISIN XS1045083323 |
Pricing supplement
PDF 106KB 7 pages |
| 26 Jun 2044 |
HSBC Bank plc
|
USD 20m |
Zero Callable Accreting Note |
ISIN XS1079211097 |
Pricing supplement
PDF 106KB 7 pages |
|
26 Jun 2044
|
HSBC Bank plc
|
USD 14m |
Zero Callable Accreting Note |
ISIN XS1079214273
|
Pricing supplement
PDF 106KB 7 pages |
| 14 Sep 2045 |
HSBC Bank plc
|
USD 100m |
Zero Coupon Callable Notes |
ISIN XS1285225063
|
Pricing supplement
PDF 140KB 9 pages |
| 25 Jan 2046 |
HSBC Bank plc
|
USD 250m |
Zero Coupon Callable Notes |
ISIN XS1341429444
|
Pricing supplement
PDF 1MB 12 pages |
| 17 Feb 2046 |
HSBC Bank plc
|
USD 40m |
Zero Coupon Callable Notes |
ISIN XS1361557256 |
Pricing supplement
PDF 255KB 8 pages |
| 24 Mar 2046 |
HSBC Bank plc
|
GBP 600m |
4.75% Subordinated Notes |
ISIN XS0247840969
common code 024784096 |
Final terms
PDF 304KB 10 pages |
| 11 Apr 2046 |
HSBC Bank plc
|
GBP 1.797m |
Currency warrants linked to GBP/USD exchange rate |
ISIN GB00BYQBDY99 |
Pricing supplement
PDF 256KB 7 pages |
|
11 Apr 2046
|
HSBC Bank plc
|
USD 550m |
Zero Coupon Callable Notes |
ISIN XS1387219659 |
Pricing supplement
PDF 1MB 12 pages |
| 10 Jun 2046 |
HSBC Bank plc
|
USD 300m |
Credit Linked Note |
ISIN XS1412419746
|
Pricing supplement
PDF 1MB 12 pages |
|
10 Jun 2046
|
HSBC Bank plc
|
EGP 40m |
Fixed Rate Note |
ISIN XS1425278048 |
Pricing supplement
PDF 151KB 11 pages |
| 29 Aug 2046 |
HSBC Bank plc
|
EUR 25m |
Zero coupon callable note |
ISIN XS1481198999 |
Pricing supplement
PDF 236KB 9 pages |
| 02 Feb 2048 |
HSBC Bank plc
|
AUD 50m |
Zero Coupon Callable Notes |
ISIN XS1758607540 |
Pricing supplement
PDF 144KB 11 pages |
| 18 May 2048 |
HSBC Bank plc
|
EUR 100m |
Rates |
ISIN XS1821201974 |
Pricing supplement
PDF 32KB 10 pages |
| Maturity date | Issuer | Amount | Security | ISIN | Item |
|---|---|---|---|---|---|
| 15 Jul 2097 | USD 250m |
7.2% Subordinated Debentures |
ISIN US760719BH68
Cusip 760719BH6
|
Pricing supplement
PDF 2MB 12 pages |
| Maturity date | Issuer | Amount | Security | ISIN | Item |
|---|---|---|---|---|---|
|
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
PDF 232KB 63 pages |
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