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 |
---|---|---|---|---|---|
23 Aug 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BSKWQJ27 |
Final terms
PDF 483KB 32 pages |
23 Aug 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQK32 |
Final terms
PDF 482KB 32 pages |
23 Aug 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQL49 |
Final terms
PDF 481KB 32 pages |
23 Aug 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQM55 |
Final terms
PDF 480KB 32 pages |
02 Sep 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BSKWQN62 |
Final terms
PDF 479KB 33 pages |
02 Sep 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQP86 |
Final terms
PDF 481KB 33 pages |
04 Sep 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN XS2844873385 |
Final terms
PDF 486KB 32 pages |
06 Sep 2030 |
HSBC Bank plc
|
GBP 3m |
Auto-Callable short 1/strike put |
ISIN XS2677754512 |
Final terms
PDF 454KB 16 pages |
09 Sep 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BR9PPJ88 |
Final terms
PDF 659KB 33 pages |
09 Sep 2030
|
HSBC Bank plc
|
GBP 2.233m |
Auto-Callable short DI put |
ISIN GB00BR9PPJ88 |
Notice of aggregate principal amount
PDF 23KB 1 page |
13 Sep 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BSKWQS18 |
Final terms
PDF 481KB 32 pages |
13 Sep 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQT25 |
Final terms
PDF 442KB 32 pages |
13 Sep 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQV47 |
Final terms
PDF 482KB 32 pages |
13 Sep 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQW53 |
Final terms
PDF 441KB 32 pages |
13 Sep 2030
|
HSBC Bank plc
|
GBP 25m
|
Auto-Callable short DI put |
ISIN GB00BSKWQX60 |
Final terms
PDF 480KB 33 pages |
02 Oct 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN XS2863675851 |
Final terms
PDF 483KB 32 pages |
06 Oct 2030 |
HSBC Bank plc
|
EGP 280.48m |
CLN |
ISIN XS2307325071 |
Pricing supplement
PDF 122KB 21 pages |
06 Oct 2030
|
HSBC Bank plc
|
EGP 54.520m |
CLN |
ISIN XS2307325311 |
Pricing supplement
PDF 91KB 16 pages |
06 Oct 2030
|
HSBC Bank plc
|
EGP 16m |
CLN |
ISIN XS2365571624 |
Pricing supplement
PDF 140KB 22 pages |
07 Oct 2030 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BRM3J086 |
Final terms
PDF 458KB 33 pages |
07 Oct 2030
|
HSBC Bank plc
|
GBP 906,808 |
Auto-Callable short DI put |
ISIN GB00BRM3J086 |
Notice of aggregate principal amount
PDF 31KB 1 page |
04 Nov 2030 |
HSBC Bank plc
|
GBP 350m |
5.375% Subordinated Notes (callable 4 November 2025) |
ISIN XS0204377310
Common code 020437731 |
Pricing supplement
PDF 342KB 8 pages |
14 Nov 2030 |
HSBC Bank plc
|
UGX 12,000m |
Bonds |
ISIN XS2658184713 |
Pricing supplement
PDF 590KB 15 pages |
16 Dec 2030 |
HSBC Bank plc
|
GBP 1.74m |
Auto-Callable short DI put |
ISIN GB00BRM3JQ45
|
Notice of aggregate principal amount
PDF 27KB 1 page |
16 Dec 2030
|
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BRM3JQ45 |
Final terms
PDF 464KB 34 pages |
20 Dec 2030 |
HSBC Bank plc
|
EUR 100m |
Auto-Callable DI Reverse |
ISIN FR001400C5O1 |
Final terms
PDF 584KB 27 pages |
20 Dec 2030
|
HSBC Bank plc
|
USD 87m |
Auto-Callable DI Reverse |
ISIN FR001400C5O1
|
Notice of aggregate principal amount
PDF 22KB 1 page |
Maturity date | Issuer | Amount | Security | ISIN | Item |
---|---|---|---|---|---|
09 Feb 2031 |
HSBC Bank plc
|
USD 96m |
RATES |
ISIN XS2295721307 |
Pricing supplement
PDF 79KB 10 pages |
08 Mar 2031 |
HSBC Bank plc
|
USD 10m |
RATES |
ISIN XS2307776323 |
Pricing supplement
PDF 705KB 10 pages |
27 Apr 2031 |
HSBC Bank plc
|
USD 10m |
Credit Linked Note |
ISIN XS1397730802 |
Pricing supplement
PDF 259KB 13 pages |
27 Apr 2031
|
HSBC Bank plc
|
USD 30m |
Callable Spread Range Accrual Notes |
ISIN XS1401150617 |
Pricing supplement
PDF 105KB 9 pages |
24 Jun 2031 |
HSBC Bank plc
|
USD 30m |
Autocallable Recovery Short DI put |
ISIN XS1434511785 |
Pricing supplement
PDF 44KB 12 pages |
04 Aug 2031 |
HSBC Bank plc
|
GBP 25m |
Auto-Callable short DI put |
ISIN GB00BSKWQB41
|
Final terms
PDF 576KB 31 pages |
07 Oct 2031 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR0013436375 |
Pricing supplement
PDF 171KB 21 pages |
07 Oct 2031
|
HSBC Bank plc
|
EUR 15m |
Maxi Auto-Callable + short DI Put |
ISIN XS2392588245 |
Pricing supplement
PDF 366KB 15 pages |
21 Oct 2031 |
HSBC Bank plc
|
USD 30m |
Dual range Accrual Note |
ISIN XS1507522560 |
Pricing supplement
PDF 217KB 10 pages |
07 Nov 2031 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR0013451309 |
Pricing supplement
PDF 111KB 20 pages |
05 Dec 2031 |
HSBC Continental Europe (formerly HSBC France)
|
EUR 30m |
Maxi Autocallable Recovery short DI put |
ISIN FR0013458759 |
Pricing supplement
PDF 246KB 19 pages |
17 May 2032 |
HSBC Finance Corporation
|
USD 97m |
7.625% Notes |
ISIN US441812JZ87
CUSIP 441812JZ8 |
Prospectus supplement
PDF 839KB 36 pages |
16 Jul 2032 |
HSBC Bank plc
|
USD 50m |
Fixed Rate Note |
ISIN XS0801997080
|
Final terms
PDF 28KB 8 pages |
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