HSBC HOLDINGS PLC (HSBC) Form 6-K — Aug 14, 2026
HSBC Holdings plc issued US$6.75 billion of senior unsecured notes on 14 August 2026 across three tranches: US$2.5 billion of 5.243% fixed/floating rate notes due 2032, US$3.25 billion of 5.729% fixed/floating rate notes due 2037, and US$1 billion of floating rate notes due 2032. The notes were issued under HSBC's indenture dated 26 August 2009 as most recently amended by a 40th supplemental indenture dated 14 August 2026, and the offering was made off the company's effective Form F-3 shelf registration. Application has been made to list the notes on the New York Stock Exchange.
Key figures
- Interest Rate
- 5.243% (2032 fixed/floating tranche) and 5.729% (2037 fixed/floating tranche); 2032 tranche is floating rate
- Maturity Date
- 2032 (fixed/floating and floating rate tranches), 2037 (fixed/floating tranche)
- Listing
- Application made to list the Notes on the New York Stock Exchange
- Tranche 1
- US$2,500,000,000 5.243% Fixed Rate/Floating Rate Senior Unsecured Notes due 2032
- Tranche 2
- US$3,250,000,000 5.729% Fixed Rate/Floating Rate Senior Unsecured Notes due 2037
- Tranche 3
- US$1,000,000,000 Floating Rate Senior Unsecured Notes due 2032
- Total assets
- US$3,438bn at 30 June 2026
- Indenture basis
- Indenture dated 26 August 2009, as most recently amended by 40th supplemental indenture dated 14 August 2026
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