HSBC HOLDINGS PLC (HSBC) Form 6-K — Aug 28, 2026
HSBC Holdings plc issued CNY2,500,000,000 of 1.950% Fixed Rate Notes due 2030 and CNY1,500,000,000 of 2.300% Fixed Rate Notes due 2034 on 28 August 2026 under its existing Debt Issuance Programme, for combined senior unsecured funding of CNY4,000,000,000. The Notes were listed on the Official List of the UK Financial Conduct Authority and admitted to trading on the Main Market of the London Stock Exchange the same day, with the drawdown prospectus dated 24 August 2026 available via hsbc.com.
Key figures
- Debt Amount
- CNY4,000,000,000 (combined: CNY2.5bn due 2030 + CNY1.5bn due 2034)
- Total Assets
- US$3,438bn (as at 30 June 2026)
- Interest Rate
- 1.950% (2030 notes); 2.300% (2034 notes)
- Maturity Date
- 2030 (tranche 1); 2034 (tranche 2)
- Listing venue
- Main Market of the London Stock Exchange plc
- Tranche1 isin
- HK0001325320
- Tranche1 size
- CNY2,500,000,000
- Tranche2 isin
- HK0001325338
- Tranche2 size
- CNY1,500,000,000
- Admission date
- 28 August 2026
- Tranche1 coupon
- 1.950%
- Tranche2 coupon
- 2.300%
- Tranche1 maturity
- 2030
- Tranche2 maturity
- 2034
AI analysis
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