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 | Issue date | Amount | Security | ISIN | Item |
---|---|---|---|---|---|
15 Sep 2037 | 12 Sep 2007 | USD 1,515m |
6.500% Subordinated Notes |
ISIN US404280AH22
Common Code 032063519 |
|
15 Sep 2037 | 16 Sep 2022 | USD 985m |
6.500% Subordinated Notes |
ISIN US404280DM89 |
Prospectus
PDF 331KB 109 pages |
07 Apr 2038 | 07 Apr 2004 | GBP 750m |
7.000% Subordinated Notes |
ISIN XS0356452929
Common code 035645292 |
|
01 Jun 2038 | 27 May 2008 | USD 961m |
6.800% Subordinated Notes |
ISIN US404280AJ87
Common code 036605901 |
|
01 Jun 2038 | 16 Sep 2022 | USD 539m |
6.800% Subordinated Notes |
ISIN US404280DN62 |
Prospectus
PDF 331KB 109 pages |
16 Mar 2040 | 16 Mar 2023 | EUR 135m |
4.816% Fixed Rate Notes due 2040 |
ISIN XS2599142648 |
Final terms
PDF 258KB 9 pages |
29 Mar 2040 | 29 Mar 2010 | GBP 900m |
6.000% Subordinated Notes |
ISIN XS0498768315
Common code 049876831 |
Final terms
PDF 350KB 11 pages |
14 Jan 2042 | 18 Nov 2011 | USD 750m |
6.100% Senior Notes |
Cusip 404280AM1
ISIN US404280AM17 |
Prospectus supplement
PDF 329KB 76 pages |
30 Jun 2043 | 30 Jun 2023 | EUR 85m |
5.15% Fixed Rate Notes due 2043 |
ISIN XS2642404177 |
Final terms
PDF 406KB 8 pages |
29 Sep 2043 | 29 Sep 2023 | EUR 65m |
5.240% Fixed Rate Notes due 2043 |
ISIN XS2695747985 |
Final terms
PDF 304KB 8 pages |
09 Mar 2044 | 09 Mar 2023 | USD 2750m |
6.332% Fixed Rate/Floating Rate Senior Unsecured Notes due 2044 |
US404280DW61 |
Prospectus supplement
PDF 548KB 146 pages |
14 Mar 2044 | 12 Mar 2014 | USD 1,500m |
5.25% Subordinated Notes |
ISIN US404280AQ21
Cusip 404280AQ2 |
Prospectus supplement
PDF 311KB 94 pages |
18 Mar 2052 | 18 Mar 2022 | USD 415m |
Zero Coupon Notes |
ISIN XS2451774884 |
Final terms
PDF 343KB 9 pages |
07 Mar 2023 | USD 2,000m |
8.000% Perpetual Subordinated Contingent Convertible Securities (Callable March to September 2028 and every five years thereafter) |
ISIN US404280DT33 CUSIP 404280 DT3 |
Prospectus supplement
PDF 614KB 175 pages |
|
14 Jun 2024 | SGD 1,500m |
5.250% Perpetual Subordinated Contingent Convertible Securities (Callable June to December 2029 and every five years therafter) |
ISIN XS2764959842 |
Pricing Supplement
PDF 368KB 10 pages |
|
17 Apr 2000 | USD 900m |
10.176% Non-Cumulative Step-up Perpetual Preferred Securities, Series 2 (callable 30 June 2030) |
Restricted : ISIN US40427LAB09
Regulation S: ISIN USG4637HABA45
Common code 011058981
|
|
|
17 Sep 2014 | USD 2,250m |
6.375% Perpetual Subordinated Contingent Convertible Securities (Callable September 2024 and Every Five Years Thereafter) |
CUSIP: 404280 AS8
ISIN US404280AS86
|
Prospectus supplement
PDF 494KB 162 pages |
|
30 Mar 2015 | USD 2,450m |
6.375% Perpetual Subordinated Contingent Convertible Securities (Callable March 2025 and Every Five Years Thereafter) |
CUSIP 404280 AT6
ISIN US404280AT69 |
Prospectus and supplement
PDF 499KB 165 pages |
|
22 May 2017 | USD 3,000m |
6.000% Perpetual Subordinated Contingent Convertible Securities (Callable May 22, 2027 and Every Five Years Thereafter) |
ISIN US404280BL25 <br />
CUSIP 404280 BL2 |
Prospectus supplement
PDF 552KB 175 pages |
|
04 Jul 2017 | EUR 1,250m |
4.75% Perpetual Subordinated Contingent Convertible Securities (Callable July 2029) and every 5 years thereafter |
ISIN XS1640903701 |
Pricing supplement
PDF 40KB 10 pages |
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