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Preference shares and bonds

Subordinated Bonds issued by HSBC Holdings plc
    Maturity Reference:
USD1bn 7.5% Subordinated Notes 15 July 2009 ISIN US404280AA78
CUSIP No 404280AA7
EUR300m 5.5% Subordinated Notes 15 July 2009 ISIN XS0099269507
Common Code 009926950
EUR2bn Subordinated Floating Rate Notes (callable 2009) 22 September 2014 ISIN XS0200581378 Common Code 020058137
USD750m Subordinated
Floating Rate Notes
(callable 2010)
16   March 2015 ISIN XS50214365263
Common Code 021436526
USD750m Subordinated
Floating Rate Notes
(callable 2011)
6 October 2016 ISIN XS0269733258
Common Code 026973325
USD1.4bn 5.25% Subordinated Notes 12 December 2012 ISIN US404280AB51
Common Code 404280AB5
EUR1bn 5.375% Subordinated Notes 20 December 2012 ISIN XS0159496867
Common Code 015949686
GBP250m 9.875% Subordinated
Bonds (callable 2013)
8 April 2018 ISIN XS0043041879
Common Code 004304187
EUR700m 3.625% Subordinated Notes (callable 2015) 29 June 2020 XS022205331 Common Code 02220533
GBP650m 5.75% Subordinated Notes 20 December 2027 ISIN XS0159497162
Common Code 015949716
USD488m 7.625% Subordinated
Notes
17 May 2032 ISIN US404280AF65
Common Code 404280AF6
USD222m 7.35% Subordinated Notes 27 November 2032 ISIN US404280AE90
Common Code
404280AE9
USD2bn 6.5% Subordinated Notes 2 May 2036 ISIN US404280AG4
Common Code 404280AG4
Perpetual Preferred Securities guaranteed by
HSBC Holdings plc
    Reference:
USD1.35bn 9.547% Non-cumulative Step-up Perpetual Preferred Securities, Series 1 (callable 30 June 2010) Restricted : ISIN US40427LAA26
Common Code 011058841
Regulation S: ISIN USG4637HAA61
Common Code 011058744
EUR600m 8.03% Non-cumulative Step-up Perpetual Preferred Securities (callable 30 June 2012) Restricted : ISIN XS0110562617
Common Code 011056261
Regulation S: ISIN XS0110562534
Common Code 011056253
USD1.25bn 4.61% Non-cumulative Step-up Preferred Securities (callable 27 June 2013) Restricted: ISIN US40429Q2003
Common Code 40429Q200
Regulation S: ISIN USG463802037
Common Code G463802037
EUR1.4bn 5.3687% Non-cumulative Step-up Preferred Securities (callable 24 March 2014) Regulation S: ISIN XS0178404793
Common Code 017840479
GBP500m 8.208% Non-cumulative Step-up Perpetual Preferred Securities (callable 30 June 2015) Restricted : ISIN XS0110560835
Common Code 011056083
Regulation S: ISIN XS011056165
Common Code 011056016
EUR750m 5.13% Non-cumulative Step-up Perpetual Preferred Securities
(callable 29 March 2016)
Regulation S: ISIN X5188853526
Common Code 018885352
USD900m 10.176% Non-cumulative Step-up Perpetual Preferred Securities, Series 2 (callable 30 June 2030) Restricted : ISIN US40427LAB09
Common Code 011058981
Regulation S: ISIN USG4637HABA45
Common Code 011058914
Preference shares issued by HSBC Holdings plc
    Reference:
USD1.45bn 6.20% Non-cumulative dollar denominated preference shares series A of US$0.01 each (callable 16 December 2010) Cusip 404280604
ISIN US 4042806046

Share price

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