Bond HSBC 5% ( XS1882693036 ) in SGD

Issuer HSBC
Market price refresh price now   102.72 %  ▲ 
Country  United Kingdom
ISIN code  XS1882693036 ( in SGD )
Interest rate 5% per year ( payment 2 times a year)
Maturity Perpetual



Prospectus brochure in PDF format

Minimal amount 250 000 SGD
Total amount 750 000 000 SGD
Next Coupon 24/09/2026 ( In 32 days )
Detailed description HSBC Holdings plc is a British multinational banking and financial services holding company headquartered in London, serving customers worldwide in wealth and personal banking, commercial banking, and global banking and markets.

The Bond issued by HSBC ( United Kingdom ) , in SGD, with the ISIN code XS1882693036, pays a coupon of 5% per year.
The coupons are paid 2 times per year and the Bond maturity is Perpetual
DateClean price
07/08/2024100.00%
17/03/2024100.00%
20/08/202392.71%
27/07/202392.71%
03/07/202392.71%
09/06/202392.71%
16/05/202392.71%
22/04/202392.71%
29/03/202392.71%
05/03/202392.71%
10/02/202392.71%
18/01/202392.71%
26/12/202292.71%
03/12/202292.71%
10/11/202292.71%
20/10/202292.71%
29/09/202292.71%
08/09/202292.71%
18/08/202292.71%
28/07/202292.71%
07/07/202292.71%
16/06/202292.71%
26/05/202292.71%
05/05/202292.71%
14/04/202292.71%
24/03/202292.71%
03/03/202292.71%
10/02/202292.71%
20/01/202292.71%
30/12/202192.71%
09/12/202192.71%
18/11/202192.71%
28/10/202192.71%
07/10/202192.71%
16/09/202192.71%
26/08/202192.71%
05/08/202192.71%
15/07/202192.71%
24/06/202192.71%
03/06/202192.71%
13/05/202192.71%
22/04/202192.71%
03/04/202192.71%
16/03/202192.71%
27/02/202192.71%
10/02/202192.71%
25/01/202192.71%
08/01/202192.71%
22/12/202092.71%
05/12/202092.71%
18/11/202092.71%
03/11/202092.71%
23/10/202092.71%
12/10/202092.71%
01/10/202092.71%
20/09/202092.71%
09/09/202092.71%
29/08/202092.71%
18/08/202092.71%
07/08/202092.71%
27/07/202092.71%
16/07/202092.71%
04/07/202092.71%
23/06/202092.71%
12/06/202092.71%
01/06/202092.71%
21/05/202092.71%
10/05/202092.71%
29/04/202092.71%
18/04/2020102.55%
07/04/2020102.55%
27/03/2020102.55%
16/03/2020102.55%
05/03/2020102.55%
23/02/2020102.55%
12/02/2020102.55%
01/02/2020102.55%
21/01/2020102.55%
10/01/2020102.55%
30/12/2019102.55%
16/12/2019102.55%
05/12/2019102.55%
24/11/2019102.55%
16/11/2019102.55%
08/11/2019102.55%
31/10/2019102.55%
23/10/2019102.55%
15/10/2019102.55%
07/10/2019102.55%
29/09/2019102.55%
20/09/2019102.55%
08/09/2019102.55%
02/09/2019102.55%
26/08/2019102.55%
19/08/2019102.55%
12/08/2019102.55%
05/08/2019102.55%
28/07/2019102.55%
21/07/2019102.55%
14/07/2019102.55%
08/07/2019102.55%
01/07/2019102.55%
23/06/2019102.55%
17/06/2019102.55%
10/06/2019102.55%
04/06/2019102.55%
29/05/2019102.55%
22/05/2019102.63%
16/05/2019102.72%
10/05/2019102.72%
23/04/2019102.72%