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00005 HSBC HOLDINGS
RT Nominal down74.900 -0.050 (-0.067%)
Date No. of Shares Issued Issue Price Total Fund Raised Type % of Issued Shs Raising Method
(Reason)
05/09/2024----USD 1.350BConvertible Bonds0.000Placing/Issue
(Enlarging the capital base Issue Perpetual Subordinated Contingent Convertible Securities; Redeemable on 6 months prior to 11 March 2030 to the end of the reset date)
05/09/2024----USD 1.150BConvertible Bonds0.000Placing/Issue
(Enlarging the capital base Issue Perpetual Subordinated Contingent Convertible Securities; Redeemable on 6 months prior to 11 September 2034 to the end of the reset date)
13/06/2024----SGD 1.500BConvertible Bonds0.000Placing/Issue
(Enlarging the capital base Issue Perpetual Subordinated Contingent Convertible Securities; Redeemable on 6 months prior to 14 December 2029 to the end of the reset date)
01/03/2023----USD 2.000BConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development;Debt Repayment Issue Perpetual Subordinated Contingent Convertible Securities (Redeemable on 6 months prior to 7 September 2028 to the end of the reset date))
 
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Remark: Information above for reference only;
  Real time quote last updated: 24/12/2024 17:59
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