HSBCContEur 28 01 2031 EURO STOXX Banks Price EUR Index
OtherFR0014015Q39
IssuerHSBC Continental Europe
Issuer LEIF0HUI1NY1AZMJMD8LP67
SeniorityOther
Classification basisCFI classification
Total issued nominalEUR 30m
CurrencyEUR
Coupon0%
Maturity date2031-01-28 · 4.5y
First trade date2026-01-29
Nominal per unitEUR 1,000
CFIDEEMRI
Reference venue (MIC)XLUX
Trading venues1
StatusActive
First seen2026-08-04
Last seen2026-08-04
Other instruments from HSBC Continental Europe
Full profile| ISIN | Instrument | Seniority | Coupon | Maturity | Amount |
|---|---|---|---|---|---|
| FR0014015K92 | HSBC CONTINENTAL EUROPE Issue of EUR 3,000,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due January 2031 | OTH | 0% | 2031-01-27 | EUR 3m |
| FR0014015HY7 | HSBCContEur 24 01 2031 NIKKEI225 Index | OTH | 0% | 2031-01-24 | EUR 20m |
| FR0014015KA1 | HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Security-linked Notes due January 2031 | OTH | 0% | 2031-01-23 | EUR 30m |
| FR0014015SM9 | HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Autocallable Notes due February 2031 linked to a Basket of Securities | OTH | 0% | 2031-02-03 | EUR 30m |
| FR0014015FS3 | HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Notes due January 2031 linked to a Basket of Indices | OTH | 0% | 2031-01-22 | EUR 30m |
| FR001400WTN6 | HSBC CONTINENTAL EUROPE Issue of EUR 1,500,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due January 2031 linked to EURO STOXX 50 | OTH | 0% | 2031-01-22 | EUR 2m |
| FR0014015ZY9 | HSBC CONTINENTAL EUROPE Issue of EUR 5,000,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due February 2031 linked to a Basket of Indices | OTH | 0% | 2031-02-04 | EUR 5m |
| FR001400X631 | HSBC CONTINENTAL EUROPE Issue of EUR 2,250,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due February 2031 linked to a Basket of Indices | OTH | 0% | 2031-02-04 | EUR 2m |
FR0014015K92HSBC CONTINENTAL EUROPE Issue of EUR 3,000,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due January 2031
FR0014015HY7HSBCContEur 24 01 2031 NIKKEI225 Index
FR0014015KA1HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Security-linked Notes due January 2031
FR0014015SM9HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Autocallable Notes due February 2031 linked to a Basket of Securities
FR0014015FS3HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Notes due January 2031 linked to a Basket of Indices
FR001400WTN6HSBC CONTINENTAL EUROPE Issue of EUR 1,500,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due January 2031 linked to EURO STOXX 50
FR0014015ZY9HSBC CONTINENTAL EUROPE Issue of EUR 5,000,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due February 2031 linked to a Basket of Indices
FR001400X631HSBC CONTINENTAL EUROPE Issue of EUR 2,250,000 Variable Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due February 2031 linked to a Basket of Indices