HSBC CONTINENTAL EUROPE Issue of GBP 10,000,000 Conditional Coupon Automatic Early Redemption Reverse Convertible Index- Linked Notes due May 2032 linked to a Basket of Indices
Senior PreferredFR00140185C6
IssuerHSBC Continental Europe
Issuer LEIF0HUI1NY1AZMJMD8LP67
SenioritySenior Preferred
Classification basisFIRDS debt seniority field
Total issued nominalGBP 10m
CurrencyGBP
Coupon0%
Maturity date2032-05-19 · 5.8y
First trade date2026-05-19
Nominal per unitGBP 1
CFIDEEVRB
Reference venue (MIC)XEYE
Trading venues1
StatusActive
First seen2026-08-04
Last seen2026-08-04
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| XS3183910093 | Barclays Bank Ireland | BARCLAYS BANK IRELAND PUBLIC LIMITED COMPANY GBP 12,263,000 Securities due June 2032 | 0% | 2032-06-23 | GBP 12m |
| XS3391498014 | Goldman Sachs Bank Europe | GoldmSachsBkEur 01 07 2032 Goldman Sachs Cayman Preference Shares | 0% | 2032-07-01 | GBP 10m |
| XS3302344745 | Morgan Stanley Europe | MORGAN STANLEY EUROPE SE Issue of GBP 298,000 Equity Linked Notes due 2032 | 0% | 2032-04-01 | GBP 298,000 |
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XS0130092793NWB Bank
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Other instruments from HSBC Continental Europe
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|---|---|---|---|---|---|
| FR00140185D4 | HSBC CONTINENTAL EUROPE Issue of USD 10,000,000 Conditional Coupon Automatic Early Redemption Reverse Convertible Index- Linked Notes due May 2032 linked to a Basket of Indices | SP | 0% | 2032-05-19 | USD 10m |
| FR0013258456 | HSBC1.603%1JUN2032 | SP | 1.603% | 2032-06-01 | EUR 50m |
| FR00140185N3 | HSBC CONTINENTAL EUROPE Issue of EUR 2,500,000 Recovery Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due May 2032 linked to a Basket of Indices | SP | 0% | 2032-05-05 | EUR 3m |
| FR0014019725 | HSBC CONTINENTAL EUROPE Issue of USD 5,000,000 Notes linked to UKSED3P Investments Limited Preference Shares Series 3571 | SP | 0% | 2032-06-25 | USD 5m |
| FR0014019DO9 | HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Notes due July 2032 linked to a Basket of Securities | SP | 4.6% | 2032-07-01 | EUR 30m |
| FR0014019DP6 | HSBC CONTINENTAL EUROPE Issue of EUR 3,000,000 Recovery Coupon Automatic Early Redemption Reverse Convertible Equity-Linked Notes due July 2032 linked to a Basket of Securities | SP | 0% | 2032-07-01 | EUR 3m |
| FR0013246402 | HSBC1.705%03APR32 | SP | 1.705% | 2032-04-03 | EUR 22m |
| FR00140181L6 | HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Notes due July 2032 linked to a Basket of Securities | SP | 0% | 2032-07-06 | EUR 30m |
FR00140185D4HSBC CONTINENTAL EUROPE Issue of USD 10,000,000 Conditional Coupon Automatic Early Redemption Reverse Convertible Index- Linked Notes due May 2032 linked to a Basket of Indices
FR0013258456HSBC1.603%1JUN2032
FR00140185N3HSBC CONTINENTAL EUROPE Issue of EUR 2,500,000 Recovery Coupon Automatic Early Redemption Reverse Convertible Index-Linked Notes due May 2032 linked to a Basket of Indices
FR0014019725HSBC CONTINENTAL EUROPE Issue of USD 5,000,000 Notes linked to UKSED3P Investments Limited Preference Shares Series 3571
FR0014019DO9HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Notes due July 2032 linked to a Basket of Securities
FR0014019DP6HSBC CONTINENTAL EUROPE Issue of EUR 3,000,000 Recovery Coupon Automatic Early Redemption Reverse Convertible Equity-Linked Notes due July 2032 linked to a Basket of Securities
FR0013246402HSBC1.705%03APR32
FR00140181L6HSBC CONTINENTAL EUROPE Issue of EUR 30,000,000 Recovery Coupon Autocallable Notes due July 2032 linked to a Basket of Securities