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.

2,501 to 2,569 of 2,569 items
Maturity date Issuer Amount Security ISIN Item
Maturity date Issuer Amount Security ISIN Item
24 May 2038
HSBC Bank plc
USD 194.6m
Accreting Note - Callable
ISIN XS0933176298
Final terms
20 Jun 2038
HSBC Bank plc
MXN 4,100m
FINI
ISIN XS1789176176
Pricing supplement
10 Sep 2038
HSBC Bank plc
USD 106.4m
Zero Coupon Callable Note
ISIN XS0967101600
Pricing supplement
15 Jan 2039
HSBC Bank USA, NA
USD 700m
7% Subordinated Global Bank Notes
ISIN US4042Q1AD94 Cusip 4042Q1AD9
Pricing supplement
06 May 2039
HSBC Bank plc
USD 125m
Autocallable Notes
ISIN XS1062493348
Pricing supplement
25 Sep 2040
HSBC Bank plc
USD 105m
BRL Fixed Rate Note
ISIN XS1289964600
Pricing supplement
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
02 Sep 2041
HSBC Bank plc
EUR 16.5m
Zero coupon callable note
ISIN XS1484415887
Pricing supplement
02 Sep 2041
HSBC Bank plc
EUR 123m
Zero coupon callable note
ISIN XS1484523185
Pricing supplement
28 Apr 2042
HSBC Bank plc
USD 50m
Callable Accreting Zero Coupon
ISIN XS2615273328
Pricing supplement
24 Jul 2042
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0805075180
Final terms
25 Jul 2042
HSBC Bank plc
USD 50m
Accreting Note - Callable
ISIN XS0806468103
Final terms
22 Oct 2042
HSBC Bank plc
USD 10m
Accreting Note - Callable
ISIN XS0842241464
Final terms
19 Nov 2042
HSBC Bank plc
USD 10m
Accreting Note - Callable
ISIN XS0852620094
Final terms
19 Nov 2042
HSBC Bank plc
USD 15m
Accreting Note - Callable
ISIN XS0852946440
Final terms
28 Nov 2042
HSBC Bank plc
USD 13m
Accreting Note - Callable
ISIN XS0857158017
Final terms
16 Jan 2043
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0872702039
Final terms
22 Jan 2043
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0876801696
Final terms
04 Feb 2043
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0879044070
Final terms
18 Mar 2043
HSBC Bank plc
USD 20m
Callable Accreting Note
ISIN XS0901336676
Final terms
27 Mar 2043
HSBC Bank plc
USD 15m
Accreting Note - Callable
ISIN XS0906863567
Final terms
23 Apr 2043
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0921302401
Final terms
24 Apr 2043
HSBC Bank plc
USD 20m
Accreting Note - Callable
ISIN XS0918580027
Final terms
13 May 2043
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0931187826
Final terms
23 May 2043
HSBC Bank plc
USD 20m
Accreting Note - Callable
ISIN XS0933571670
Final terms
22 Jul 2043
HSBC Bank plc
USD 30m
Accreting Note - Callable
ISIN XS0953257184
Pricing supplement
26 Jul 2043
HSBC Bank plc
USD 50m
Single Callable Accreting Note
ISIN XS2654783955
Pricing supplement
25 Sep 2043
HSBC Bank plc
USD 50m
Callable Zero Coupon
ISIN XS2689118987
Pricing supplement
26 Sep 2043
HSBC Bank plc
USD 50m
Zero Coupon Callable Note
ISIN XS0972827819
Pricing supplement
30 Sep 2043
HSBC Bank plc
USD 50m
Zero Coupon Callable Note
ISIN XS0973215824
Pricing supplement
18 Oct 2043
HSBC Bank plc
USD 50m
Zero Coupon Callable Notes
ISIN XS0979550000
Pricing supplement
21 Oct 2043
HSBC Bank plc
USD 30m
Zero Coupon Callable Note
ISIN XS0979758330
Pricing supplement
17 Jan 2044
HSBC Bank plc
USD 20m
Autocallable Review Notes
ISIN XS1013927329
Pricing supplement
22 Jan 2044
HSBC Bank plc
USD 50m
Autocallable Review Notes
ISIN XS1014966607
Pricing supplement
23 Jan 2044
HSBC Bank plc
USD 35m
Autocallable Review Notes
ISIN XS1015936906
Pricing supplement
23 Jan 2044
HSBC Bank plc
USD 30m
Autocallable Review Notes
ISIN XS1015951616
Pricing supplement
23 Jan 2044
HSBC Bank plc
USD 35m
Autocallable Review Notes
ISIN XS1016042506
Pricing supplement
23 Jan 2044
HSBC Bank plc
USD 20m
Autocallable Review Notes
ISIN XS1020776958
Pricing supplement
29 Jan 2044
HSBC Bank plc
USD 30m
Autocallable Review Notes
ISIN XS1023790048
Pricing supplement
06 Feb 2044
HSBC Bank plc
USD 20m
Autocallable Review Notes
ISIN XS1023279182
Pricing supplement
04 Mar 2044
HSBC Bank plc
USD 10m
Autocallable Review Notes
ISIN XS1039257545
Pricing supplement
20 Mar 2044
HSBC Bank plc
USD 20m
Autocallable Notes
ISIN XS1045083323
Pricing supplement
26 Jun 2044
HSBC Bank plc
USD 20m
Zero Callable Accreting Note
ISIN XS1079211097
Pricing supplement
26 Jun 2044
HSBC Bank plc
USD 14m
Zero Callable Accreting Note
ISIN XS1079214273
Pricing supplement
14 Sep 2045
HSBC Bank plc
USD 100m
Zero Coupon Callable Notes
ISIN XS1285225063
Pricing supplement
25 Jan 2046
HSBC Bank plc
USD 250m
Zero Coupon Callable Notes
ISIN XS1341429444
Pricing supplement
17 Feb 2046
HSBC Bank plc
USD 40m
Zero Coupon Callable Notes
ISIN XS1361557256
Pricing supplement
24 Mar 2046
HSBC Bank plc
GBP 600m
4.75% Subordinated Notes
ISIN XS0247840969 common code 024784096
Final terms
11 Apr 2046
HSBC Bank plc
GBP 1.797m
Currency warrants linked to GBP/USD exchange rate
ISIN GB00BYQBDY99
Pricing supplement
11 Apr 2046
HSBC Bank plc
USD 550m
Zero Coupon Callable Notes
ISIN XS1387219659
Pricing supplement
10 Jun 2046
HSBC Bank plc
USD 300m
Credit Linked Note
ISIN XS1412419746
Pricing supplement
10 Jun 2046
HSBC Bank plc
EGP 40m
Fixed Rate Note
ISIN XS1425278048
Pricing supplement
29 Aug 2046
HSBC Bank plc
EUR 25m
Zero coupon callable note
ISIN XS1481198999
Pricing supplement
02 Feb 2048
HSBC Bank plc
AUD 50m
Zero Coupon Callable Notes
ISIN XS1758607540
Pricing supplement
18 May 2048
HSBC Bank plc
EUR 100m
Rates
ISIN XS1821201974
Pricing supplement
Maturity date Issuer Amount Security ISIN Item
15 Jul 2097
USD 250m
7.2% Subordinated Debentures
ISIN US760719BH68 Cusip 760719BH6
Pricing supplement
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
HSBC USA Inc
USD 373.75m
Depositary Shares Each Representing One-Fortieth of a Share of 6.5% Non-Cumulative Preferred Stock, Series H (callable from 01 July 2011)
Exchange symbol HBA H Cusip 40428H862 Common code 033258640
Prospectus supplement
HSBC Continental Europe (formerly HSBC France)
EUR 16m
EUR16m, TSDI, TMO-0.25%, Perpetual
ISIN FR0000585333
Term sheet
The Hongkong and Shanghai Banking Corporation
USD 400m
Primary Capital Undated Floating Rate Notes, Third Series (callable quarterly)
ISIN GB0004355490 Common code 001002163
HSBC USA Inc
USD 150m
$2.8575 Cumulative Preferred Stock (callable)
Exchange symbol HBA Z ISIN US40428H2013 Cusip 40428H201
Prospectus supplement
HSBC USA Inc
USD 150m
Depository Shares Each Representing a One-fourth interest in a Share of Adjustable Rate Cumulative Preferred Stock, Series D (callable)
Exchange symbol HBA D ISIN US40428H7061 Cusip 40428H706
Prospectus supplement
HSBC USA Inc
USD 373.75m
Depositary Shares Each Representing One-Fortieth of a Share of Floating Rate Non-Cumulative Preferred Stock, Series G, minimum dividend 4.0% (callable from 01 January 2011)
Exchange symbol HBA G ISIN US40428H8887 Cusip 40428H888
Prospectus supplement
HSBC Bank plc
USD 500m
Undated Floating Rate Primary Capital Notes (callable semi-annually)
ISIN XS0015190423 Common code 001519042
HSBC Bank plc
GBP 700m
5.844% Non-Cumulative Step-up Perpetual Preferred Securities (callable 5 November 2031)
ISIN XS0179407910 Common code 017940791
Offering circular
HSBC Bank plc
GBP 300m
5.862% Non-Cumulative Step-up Perpetual Preferred Securities (callable 7 April 2020)
ISIN XS0189704140 Common code 018970414
Offering circular
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