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 |
---|---|---|---|---|---|
07 Dec 2033 |
HSBC Bank plc
|
USD 10m |
Callable Fixed Rate Notes |
ISIN XS2726918191
|
Pricing supplement
PDF 479KB 9 pages |
19 Dec 2033 |
HSBC Bank plc
|
USD 10m |
Callable Fixed Rate Notes |
ISIN XS2733103712
|
Pricing supplement
PDF 740KB 9 pages |
11 Oct 2034 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400SMH1 |
Final terms
PDF 496KB 17 pages |
30 Oct 2034 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable short DI put |
ISIN FR001400T0R6
|
Final terms
PDF 182KB 16 pages |
30 Oct 2034
|
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m
|
Maxi Auto-Callable short DI put |
ISIN FR001400T0V8
|
Final terms
PDF 185KB 16 pages |
01 Nov 2034 |
HSBC Bank USA, NA
|
USD 1,000m |
5.875% Subordinated Global Bank Notes |
ISIN US4042Q1AA55
Cusip 4042Q1AA5 |
Pricing supplement
PDF 259KB 4 pages |
06 Nov 2034 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400SRH0
|
Final terms
PDF 467KB 18 pages |
13 Nov 2034 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable short DI put |
ISIN FR001400U157 |
Final terms
PDF 177KB 16 pages |
14 Nov 2034 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable short DI put |
ISIN FR001400U2J6 |
Final terms
PDF 178KB 16 pages |
20 Dec 2034 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable short DI put |
ISIN FR001400U8R6 |
Final terms
PDF 155KB 19 pages |
12 Feb 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable short DI put |
ISIN FFR001400UGQ0
|
Final terms
PDF 426KB 17 pages |
05 Mar 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable short DI put |
ISIN FR001400XX32 |
Final terms
PDF 195KB 17 pages |
19 Mar 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400Y2V7 |
Final terms
PDF 213KB 18 pages |
09 Apr 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400YUD1 |
Final terms
PDF 422KB 17 pages |
14 May 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400YNO3 |
Final terms
PDF 478KB 20 pages |
16 May 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Auto-Callable short DI put |
ISIN FR001400XL10
|
Final terms
PDF 415KB 18 pages |
21 May 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400Z6D5 |
Final Terms
PDF 311KB 25 pages |
22 May 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR001400XZ71 |
Final terms
PDF 482KB 20 pages |
07 Aug 2035 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Autocallable DI Reverse with Floater |
ISIN FR001400Z6H6 |
Final terms
PDF 481KB 19 pages |
15 Aug 2035 |
HSBC Bank USA, NA
|
USD 750m |
5.625% Subordinated Global Bank Notes |
ISIN US4042Q1AB39
Common code 022747886
Cusip 4042Q1AB3 |
Pricing supplement
PDF 13KB 4 pages |
07 Jan 2036 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Auto-Callable + short DI Put |
ISIN FR0014010YW7 |
Final terms
PDF 424KB 18 pages |
29 Jan 2036 |
HSBC Bank plc
|
USD 20m |
Zero Coupon Callable Note |
ISIN XS1353623876 |
Pricing supplement
PDF 235KB 8 pages |
18 Mar 2036 |
HSBC Bank plc
|
USD 31.357m |
Passthrough Note |
ISIN XS1646518784 |
Prospectus
PDF 889KB 95 pages |
06 May 2036 |
HSBC Bank plc
|
EUR 25m |
Credit Linked Note |
ISIN XS1397790020 |
Pricing supplement
PDF 234KB 9 pages |
28 Oct 2036 |
HSBC Bank plc
|
EUR 143.016m |
Zero Coupon Callable Accreting Notes |
ISIN XS1504183051 |
Final terms
PDF 365KB 18 pages |
24 Nov 2036 |
HSBC Bank plc
|
EUR 16m |
Fixed rate Callable note |
ISIN XS1522933560 |
Pricing supplement
PDF 156KB 8 pages |
01 Dec 2036 |
HSBC Bank plc
|
EUR 89.157m |
Zero Coupon Callable Accreting Notes |
ISIN XS1518688780 |
Final terms
PDF 388KB 18 pages |
16 Apr 2038 |
HSBC Bank plc
|
USD 70m |
Fixed Rate Note |
ISIN XS0914275754 |
Final terms
PDF 27KB 9 pages |
24 May 2038 |
HSBC Bank plc
|
USD 194.6m |
Accreting Note - Callable |
ISIN XS0933176298
|
Final terms
PDF 27KB 9 pages |
20 Jun 2038 |
HSBC Bank plc
|
MXN 4,100m |
FINI |
ISIN XS1789176176 |
Pricing supplement
PDF 50KB 13 pages |
10 Sep 2038 |
HSBC Bank plc
|
USD 106.4m |
Zero Coupon Callable Note |
ISIN XS0967101600 |
Pricing supplement
PDF 58KB 7 pages |
15 Jan 2039 |
HSBC Bank USA, NA
|
USD 700m |
7% Subordinated Global Bank Notes |
ISIN US4042Q1AD94
Cusip 4042Q1AD9 |
Pricing supplement
PDF 63KB 4 pages |
06 May 2039 |
HSBC Bank plc
|
USD 125m |
Autocallable Notes |
ISIN XS1062493348 |
Pricing supplement
PDF 106KB 7 pages |
25 Sep 2040 |
HSBC Bank plc
|
USD 105m |
BRL Fixed Rate Note |
ISIN XS1289964600
|
Pricing supplement
PDF 56KB 9 pages |
Maturity date | Issuer | Amount | Security | ISIN | Item |
---|---|---|---|---|---|
30 Jan 2041 |
HSBC Bank plc
|
GBP 225m |
6.25% Subordinated Notes |
ISIN XS0120514335
Common code 012051433 |
|
02 Sep 2041 |
HSBC Bank plc
|
EUR 116.5m |
Zero coupon callable note |
ISIN XS1484415705 |
Pricing supplement
PDF 191KB 9 pages |
02 Sep 2041
|
HSBC Bank plc
|
EUR 16.5m |
Zero coupon callable note |
ISIN XS1484415887 |
Pricing supplement
PDF 191KB 9 pages |
02 Sep 2041
|
HSBC Bank plc
|
EUR 123m |
Zero coupon callable note |
ISIN XS1484523185 |
Pricing supplement
PDF 191KB 9 pages |
28 Apr 2042 |
HSBC Bank plc
|
USD 50m |
Callable Accreting Zero Coupon |
ISIN XS2615273328 |
Pricing supplement
PDF 257KB 11 pages |
24 Jul 2042 |
HSBC Bank plc
|
USD 30m |
Accreting Note - Callable |
ISIN XS0805075180
|
Final terms
PDF 29KB 10 pages |
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