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.

81 to 120 of 135 items
Maturity date Issue date Amount Security ISIN Item
Maturity date: 22 Nov 2032
Issue date: 22 Nov 2021
Amount:
USD 1,750m
Security:
2.871% Fixed Rate/Floating Rate Senior Unsecured Notes
ISIN:
ISIN US404280CY37
Item:
Prospectus supplement
Maturity date: 27 Nov 2032
Issue date: 25 Aug 2005
Amount:
USD 125m
Security:
7.350% Subordinated Notes
ISIN:
ISIN US404280AE90 Common code 404280AE9
Item:
  • Offering memorandum
  • Prospectus
  • Prospectus
Maturity date: 27 Nov 2032
Issue date: 16 Sep 2022
Amount:
USD 97m
Security:
7.350% Subordinated Notes
ISIN:
ISIN US404280DJ50
Item:
Prospectus
Maturity date: 09 Dec 2032
Issue date: 09 Dec 2021
Amount:
EUR 186m
Security:
0.950% Fixed Rate Senior unsecured note
ISIN:
XS2419965905 Common code 241996590
Item:
Prospectus supplement
Maturity date: 14 Mar 2033
Issue date: 14 Mar 2023
Amount:
SGD 1000m
Security:
5.300% Fixed Rate Resettable Subordinated Notes due 2033
ISIN:
ISIN XS2595720967
Item:
Drawdown prospectus
Maturity date: 29 Mar 2033
Issue date: 29 Mar 2022
Amount:
USD 2,000m
Security:
4.762% Subordinated Notes
ISIN:
ISIN US404280DC08
Item:
Prospectus supplement
Maturity date: 23 May 2033
Issue date: 23 May 2023
Amount:
EUR 1,750m
Security:
4.856 per cent. Fixed to Floating Rate Notes due 2033
ISIN:
ISIN XS2621539910
Item:
Final terms
Maturity date: 11 Aug 2033
Issue date: 11 Aug 2022
Amount:
USD 2,500m
Security:
5.402% Fixed to Floating Rate Notes due 2033
ISIN:
ISIN US404280DH94
Item:
Prospectus supplement
Maturity date: 03 Nov 2033
Issue date: 03 Nov 2022
Amount:
USD 2000m
Security:
8.113% Fixed to Floating Rate Notes due 2033
ISIN:
ISIN US404280DS59
Item:
Prospectus supplement
Maturity date: 09 Mar 2034
Issue date: 09 Mar 2023
Amount:
USD 2250m
Security:
6.254% Fixed Rate/Floating Rate Senior Unsecured Notes due 2034
ISIN:
US404280DV88
Item:
Prospectus supplement
Maturity date: 21 Mar 2034
Issue date: 21 Mar 2024
Amount:
AUD 850m
Security:
6.511% Fixed Rate to Floating Rate Tier 2 Subordinated Notes due 2034
ISIN:
ISIN AU3CB0307890
Item:
Pricing supplement
Maturity date: 21 Mar 2034
Issue date: 21 Mar 2024
Amount:
AUD 650m
Security:
Floating Rate Tier 2 Subordinated Notes due 2034
ISIN:
ISIN AU3FN0085726
Item:
Pricing supplement
Maturity date: 26 Mar 2034
Issue date: 26 Sep 2023
Amount:
SGD 675m
Security:
5.300% Fixed Rate Resettable Subordinated Notes due 26 March 2034
ISIN:
ISIN XS2679876453
Item:
Final Terms
Maturity date: 20 Jun 2034
Issue date: 20 Jun 2023
Amount:
USD 2,000m
Security:
6.547% Fixed Rate/Floating Rate Subordinated Unsecured Notes due 2034
ISIN:
ISIN US404280DX45
Item:
Prospectus supplement
Maturity date: 12 Sep 2034
Issue date: 12 Mar 2024
Amount:
SGD 750m
Security:
4.750% Fixed Rate Resettable Subordinated Notes due on 12 Sep 2034
ISIN:
ISIN XS2778366885
Item:
Final terms
Maturity date: 13 Nov 2034
Issue date: 13 Nov 2023
Amount:
USD 2,000m
Security:
7.399 per cent Fixed Rate/Floating Rate Subordinated Unsecured Notes
ISIN:
ISIN US404280EC98
Item:
Prospectus supplement
Maturity date: 16 Nov 2034
Issue date: 16 Nov 2022
Amount:
GBP 1,000m
Security:
8.201% Subordinated Notes
ISIN:
ISIN XS2553549903
Item:
Final terms
Maturity date: 04 Mar 2035
Issue date: 04 Mar 2024
Amount:
USD 1,250m
Security:
5.719% Fixed Rate/Floating Rate Senior Unsecured Notes due 2035
ISIN:
ISIN US404280EE54
Item:
Prospectus supplement
Maturity date: 11 Mar 2035
Issue date: 11 Mar 2025
Amount:
AUD 550m
Security:
5.722% Fixed Rate/Floating Rate Tier 2 Subordinated Notes due 2035
ISIN:
AU3CB0319473
Item:
Maturity date: 11 Mar 2035
Issue date: 11 Mar 2025
Amount:
AUD 950m
Security:
Floating Rate Tier 2 Subordinated Notes due 2035
ISIN:
ISIN AU3FN0096483
Item:
Pricing Supplement
Maturity date: 22 Mar 2035
Issue date: 22 Mar 2024
Amount:
EUR 1,000m
Security:
4.599% Fixed Rate Resettable Subordinated Notes due 2035
ISIN:
ISIN XS2788605660
Item:
Final terms
Maturity date: 25 Sep 2035
Issue date: 25 Sep 2024
Amount:
EUR 1,500m
Security:
3.834% Fixed to Floating Rate Notes due 2035
ISIN:
ISIN XS2904541070
Item:
Final Terms
Maturity date: 18 Nov 2035
Issue date: 18 Nov 2024
Amount:
USD 1,750m
Security:
5.874% Subordinated Notes
ISIN:
ISIN US404280EL97 CUSIP 404280 EL9
Item:
Prospectus supplement
Maturity date: 03 Mar 2036
Issue date: 03 Mar 2025
Amount:
USD 2,250m
Security:
5.450% Fixed to Floating Rate Senior Unsecured Notes due 2036
ISIN:
ISIN US404280ES41 CUSIP 404280ES4
Item:
Prospectus supplement
Maturity date: 03 Mar 2036
Issue date: 03 Mar 2023
Amount:
USD 150m
Security:
5.796% Fixed Rate Notes due 2036
ISIN:
ISIN XS2594999174
Item:
Final terms
Maturity date: 02 May 2036
Issue date: 03 May 2006
Amount:
USD 1,431m
Security:
6.500% Subordinated Notes
ISIN:
ISIN US404280AG49 Common code 404280AG49
Item:
Maturity date: 02 May 2036
Issue date: 16 Sep 2022
Amount:
USD 569m
Security:
6.500% Subordinated Notes
ISIN:
ISIN US404280DL07
Item:
Prospectus
Maturity date: 08 Sep 2036
Issue date: 08 Sep 2016
Amount:
USD 2,000m
Security:
4.000% Fixed Rate Senior Unsecured Note
ISIN:
ISIN XS1481811872 CUSIP 148181187
Item:
Final terms
Maturity date: 15 Sep 2037
Issue date: 12 Sep 2007
Amount:
USD 1,515m
Security:
6.500% Subordinated Notes
ISIN:
ISIN US404280AH22 Common Code 032063519
Item:
Maturity date: 15 Sep 2037
Issue date: 16 Sep 2022
Amount:
USD 985m
Security:
6.500% Subordinated Notes
ISIN:
ISIN US404280DM89
Item:
Prospectus
Maturity date: 07 Apr 2038
Issue date: 07 Apr 2004
Amount:
GBP 750m
Security:
7.000% Subordinated Notes
ISIN:
ISIN XS0356452929 Common code 035645292
Item:
Maturity date: 01 Jun 2038
Issue date: 27 May 2008
Amount:
USD 961m
Security:
6.800% Subordinated Notes
ISIN:
ISIN US404280AJ87 Common code 036605901
Item:
Maturity date: 01 Jun 2038
Issue date: 16 Sep 2022
Amount:
USD 539m
Security:
6.800% Subordinated Notes
ISIN:
ISIN US404280DN62
Item:
Prospectus
Maturity date: 16 Mar 2040
Issue date: 16 Mar 2023
Amount:
EUR 135m
Security:
4.816% Fixed Rate Notes due 2040
ISIN:
ISIN XS2599142648
Item:
Final terms
Maturity date: 29 Mar 2040
Issue date: 29 Mar 2010
Amount:
GBP 900m
Security:
6.000% Subordinated Notes
ISIN:
ISIN XS0498768315 Common code 049876831
Item:
Final terms
Maturity date: 14 Jan 2042
Issue date: 18 Nov 2011
Amount:
USD 750m
Security:
6.100% Senior Notes
ISIN:
Cusip 404280AM1 ISIN US404280AM17
Item:
Prospectus supplement
Maturity date: 30 Jun 2043
Issue date: 30 Jun 2023
Amount:
EUR 85m
Security:
5.15% Fixed Rate Notes due 2043
ISIN:
ISIN XS2642404177
Item:
Final terms
Maturity date: 29 Sep 2043
Issue date: 29 Sep 2023
Amount:
EUR 65m
Security:
5.240% Fixed Rate Notes due 2043
ISIN:
ISIN XS2695747985
Item:
Final terms
Maturity date: 09 Mar 2044
Issue date: 09 Mar 2023
Amount:
USD 2750m
Security:
6.332% Fixed Rate/Floating Rate Senior Unsecured Notes due 2044
ISIN:
US404280DW61
Item:
Prospectus supplement
Maturity date: 14 Mar 2044
Issue date: 12 Mar 2014
Amount:
USD 1,500m
Security:
5.25% Subordinated Notes
ISIN:
ISIN US404280AQ21 Cusip 404280AQ2
Item:
Prospectus supplement
  • 81-120 of 135

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