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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41 to 60 of 61 items
Maturity date | Issuer date | Amount | Security | ISIN | Item |
---|---|---|---|---|---|
17 May 2032 | USD 488m |
7.625% Subordinated Notes |
ISIN US404280AF65
Common code 404280AF6 |
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27 Nov 2032 | USD 222m |
7.350% Subordinated Notes |
ISIN US404280AE90
Common code 404280AE9 |
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02 May 2036 | USD 2,000m |
6.500% Subordinated Notes |
ISIN US404280AG49
Common code 404280AG49 |
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15 Sep 2037 | USD 2,500m |
6.500% Subordinated Notes |
ISIN US404280AH22
Common Code 032063519 |
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07 Apr 2038 | GBP 750m |
7.000% Subordinated Notes |
ISIN XS0356452929
Common code 035645292 |
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01 Jun 2038 | USD 1,500m |
6.800% Subordinated Notes |
ISIN US404280AJ87
Common code 036605901 |
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29 Mar 2040 | GBP 900m |
6.000% Subordinated Notes |
ISIN XS0498768315
Common code 049876831 |
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14 Jan 2042 | USD 750m |
6.100% Senior Notes |
Cusip 404280AM1
ISIN US404280AM17 |
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14 Mar 2044 | USD 1,500m |
5.25% Subordinated Notes |
ISIN US404280AQ21
Cusip 404280AQ2 |
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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
|
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USD 1,450m |
6.200% Non-Cumulative Dollar-Denominated Preference Shares Series A of US$0.01 each (callable 16 December 2010) |
Cusip 404280604
ISIN US 4042806046 |
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USD 1,500m |
5.625% Perpetual Subordinated Contingent Convertible Securities (Callable January 2020 and Every Five Years Thereafter) |
CUSIP: 404280 AR0
ISIN US404280AR04 |
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USD 2,250m |
6.375% Perpetual Subordinated Contingent Convertible Securities (Callable September 2024 and Every Five Years Thereafter) |
CUSIP: 404280 AS8
ISIN US404280AS86
|
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USD 2,450m |
6.375% Perpetual Subordinated Contingent Convertible Securities (Callable March 2025 and Every Five Years Thereafter) |
CUSIP 404280 AT6
ISIN US404280AT69 |
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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 |
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EUR 1,000m |
6.00% Perpetual Subordinated Contingent Convertible Securities (Callable September 2023) |
ISIN XS1298431104 |
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SGD 1,000m |
4.70% Perpetual Subordinated Contingent Convertible Securities |
ISIN XS1624509300 |
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EUR 1,250m |
4.75% Perpetual Subordinated Contingent Convertible Securities (Callable July 2029) and every 5 years thereafter |
ISIN XS1640903701 |
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USD 1,825m |
6.500% Perpetual Subordinated Contingent Convertible Securities (Callable March 23, 2028 and Every Five Years Thereafter) |
ISIN US404280BP39<br/>
CUSIP 404280 BP3 |
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SGD 750m |
5.00% Perpetual Subordinated Contingent Convertible Securities (Callable 24 September 2023 and every 5 years thereafter) |
ISIN XS1882693036 |