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.

1,881 to 1,920 of 2,165 items
Maturity date Issuer Amount Security ISIN Item
31 Jan 2031
HSBC Bank plc
GBP 2.458m
Auto-Callable short DI put
ISIN XS2947845199
07 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FC52
Final terms
07 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FD69
Final terms
07 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FF83
Final terms
07 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FG90
Final terms
09 Feb 2031
HSBC Bank plc
USD 96m
RATES
ISIN XS2295721307
Pricing supplement
13 Feb 2031
HSBC Continental Europe (formerly HSBC France)
EUR 30m
Auto-Callable short DI put
ISIN FR001400X8B7
Final terms
13 Feb 2031
HSBC Continental Europe (formerly HSBC France)
EUR 30m
Maxi Auto-Callable + short DI Put
ISIN FR001400X9I0
Final terms
24 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FH08
Final terms
24 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FJ22
Final terms
24 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FK37
Final terms
24 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FL44
Final terms
24 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FM50
Final terms
24 Feb 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FN67
Final terms
08 Mar 2031
HSBC Bank plc
USD 10m
RATES
ISIN XS2307776323
Pricing supplement
12 Mar 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FP81
Final Terms
12 Mar 2031
HSBC Bank plc
GBP 215,802
Auto-Callable short DI put
ISIN GB00BT33FP81
12 Mar 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FQ98
Final Terms
12 Mar 2031
HSBC Bank plc
GBP 183,162
Auto-Callable short DI put
ISIN GB00BT33FQ98
14 Mar 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FR06
Final Terms
14 Mar 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FS13
Final Terms
14 Mar 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FT20
Final Terms
14 Mar 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FV42
Final Terms
04 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33CQ83
Final terms
04 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33CR90
Final terms
04 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33CS08
Final terms
04 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33CT15
Final terms
04 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FX65
Final terms
04 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33FY72
Final terms
23 Apr 2031
HSBC Continental Europe (formerly HSBC France)
EUR 30m
Auto-Callable short DI put
ISIN FR001400Z2N3
Final terms
27 Apr 2031
HSBC Bank plc
USD 10m
Credit Linked Note
ISIN XS1397730802
Pricing supplement
27 Apr 2031
HSBC Bank plc
USD 30m
Callable Spread Range Accrual Notes
ISIN XS1401150617
Pricing supplement
28 Apr 2031
HSBC Continental Europe (formerly HSBC France)
EUR 30m
Auto-Callable short DI put
ISIN FR001400Z4A6
Final terms
28 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33D094
Final terms
28 Apr 2031
HSBC Bank plc
GBP 249,900
Auto-Callable short DI put
ISIN GB00BT33D094
28 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33D102
Final terms
28 Apr 2031
HSBC Bank plc
GBP 92,340
Auto-Callable short DI put
ISIN GB00BT33D102
29 Apr 2031
HSBC Continental Europe (formerly HSBC France)
EUR 30m
Autocallable Recovery Short DI put
ISIN FR001400YZM1
Final Terms
29 Apr 2031
HSBC Bank plc
GBP 25m
Auto-Callable short DI put
ISIN GB00BT33CW44
Final terms
29 Apr 2031
HSBC Bank plc
GBP 137,302
Auto-Callable short DI put
ISIN GB00BT33CW44