HSBC Bank plc. Programme for the Issuance of Notes and Warrants

Similar documents
HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Further Issue of. 100 Bermudan Call Warrants linked to IBEX 35 expiring March 2018

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of. USD 30,000, Year Dual Range Accrual Notes due March 2025

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of. EUR 16,000,000 Fixed Rate Callable Notes due 2036

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of

HSBC Bank plc. Programme for the Issuance of Notes and Warrants Issue of. ZMW 50,000,000 Dual Currency Fixed Rate Notes due October 2019

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants Issue of GBP 1,500,000 Index linked Note due February 2024 linked to FTSE 100

HSBC Bank plc. Programme for the Issuance of Notes and Warrants Issue of. EGP 32,500, Fixed Rate Dual Currency Notes due June 2016

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the issue of Notes and Warrants

Pricing Supplement dated 10 February HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of EUR 3,700,000 Index-Linked Notes due April 2018 linked to the

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the issue of Notes and Warrants

HSBC Bank plc Programme for the Issuance of Notes and Warrants. Issue of GBP 18,619,400

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants Issue of. BRL 20,000, Fixed Rate Dual Currency Notes due July 2025

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc Programme for the Issuance of Notes and Warrants. Issue of GBP 9,615,900

HSBC Bank plc. Programme for the issue of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants Issue of. USD 43,000,000 Callable Accreting Notes. due August 2032

Notes issued pursuant to these Final Terms are Securities to be listed under listing Rule 17. HSBC Bank plc

HSBC Bank plc Programme for the Issuance of Notes and Warrants. Issue of GBP 650,000

HSBC Bank plc Programme for the Issuance of Notes and Warrants. Issue of GBP 3,575,200

Notes issued pursuant to these Final Terms are securities to be listed under Listing Rule 19. HSBC Bank plc

HSBC Bank plc. Programme for the Issuance of Notes and Warrants

Notes issued pursuant to these Final Terms are securities to be listed under Listing Rule 17.

FINAL TERMS. THE KINGDOM OF SAUDI ARABIA acting through THE MINISTRY OF FINANCE

PRICING SUPPLEMENT FOR CREDIT-LINKED NOTES

FINAL TERMS. THE KINGDOM OF SAUDI ARABIA acting through THE MINISTRY OF FINANCE

FINAL TERMS. Issue of U.S.$1,000,000, per cent. Notes due 2027 under its U.S.$3,000,000,000 Global Medium Term Note Programme

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of. Up to USD 25,000,000

FINAL TERMS PART A CONTRACTUAL TERMS

HSBC Bank plc Programme for the Issuance of Notes and Warrants

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of. Up to EUR 50,000,000

HSBC Bank plc. Programme for the Issuance of Notes and Warrants. Issue of. Up to EUR 50,000,000

FINAL TERMS FOR THE WARRANTS. Warrants issued pursuant to these Final Terms are securities to be listed under Listing Rule 19.

FINAL TERMS SANTANDER UK GROUP HOLDINGS PLC

PART A CONTRACTUAL TERMS. Not Applicable

FINAL TERMS. Iberdrola Finanzas, S.A.U. (incorporated with limited liability in the Kingdom of Spain) Issue of

Pricing Supplement dated 22 February HSBC France. Issue of EUR 1,571,000 Notes linked to Eukairos Investments Ltd Preference Shares Series 1060

FINAL TERMS UNITED UTILITIES WATER FINANCE PLC

1. (i) Series Number: 3600 (ii) Tranche Number: 1 Date on which the Notes will be consolidated and form a single Series: Not Applicable

Compass Group PLC. Compass Group International B.V. 4,000,000,000 Euro Medium Term Note Programme (the "Programme")

FINAL TERMS. TP ICAP plc. Issue of 500,000, per cent. Notes due under the 1,000,000,000 Euro Medium Term Note Programme

Pricing Supplement dated 9 February HSBC France

FINAL TERMS. Iberdrola Finanzas, S.A.U. (incorporated with limited liability in the Kingdom of Spain) Issue of

FINAL TERMS. Not Applicable

19 May 2014 PART A CONTRACTUAL TERMS

Final Terms. 30 May Oman Sovereign Sukuk S.A.O.C.

FINAL TERMS. Commonwealth Bank of Australia ABN

Not Applicable U.S.$1,000

FINAL TERMS. Iberdrola International B.V. (incorporated with limited liability in The Netherlands and having its corporate seat in Amsterdam) Issue of

FINAL TERMS GAS NETWORKS IRELAND. Issue of EUR500,000, per cent. Notes due 5 December 2026

1 (i) Series Number: 4

FINAL TERMS. Commonwealth Bank of Australia ABN

The Royal Bank of Scotland plc

ANNOUNCEMENT. For Immediate Release 22 May 2017

1. (i) Issuer: Toyota Motor Finance (Netherlands) B.V.

ANNOUNCEMENT. For Immediate Release 19 May EPERON FINANCE P.L.C (the Issuer ) Amendment and Restatement of Conditions and Contractual Terms

FINAL TERMS MERRILL LYNCH INTERNATIONAL & CO. C.V. Issue of 3,350,000 W&C Securities relating to Odontoprev S.A.

FINAL TERMS. Santander International Products pic. Issue of USD 1,000,000 Equity Index Linked Notes. Guamnteed by BANCO SANTANDER, S.A.

OPERATIONAL INFORMATION SHEET

SWEDBANK AB (publ) Issue of U.S.$1,000,000, per cent Notes due March 14, under the U.S.$15,000,000,000 Medium Term Note Programme

HSBC France Issue of EUR 58,000,000 Index-Linked Interest Notes due June 2018 under the 20,000,000,000 Euro Medium Term Note Programme

FINAL TERMS. Iberdrola Finanzas, S.A.U. (incorporated with limited liability in the Kingdom of Spain) Issue of

STANDARD CHARTERED PLC, STANDARD CHARTERED BANK STANDARD CHARTERED BANK (HONG KONG) LIMITED

CONFORMED COPY. 1. (i) Issuer: Toyota Motor Finance (Netherlands) B.V.

STANDARD CHARTERED PLC, STANDARD CHARTERED BANK STANDARD CHARTERED BANK (HONG KONG) LIMITED

RIKSHEM AB (PUBL) Issue of EUR 28,000, per cent. Notes due 27 October under the EUR 2,000,000,000 Euro Medium Term Note Programme

TELEFÓNICA EMISIONES, S.A.U.

Final Terms Dated 17 April 2018 TOYOTA FINANCE AUSTRALIA LIMITED (ABN )

Final Terms dated 15 December 2017 PART A - CONTRACTUAL TERMS

STANDARD CHARTERED PLC, STANDARD CHARTERED BANK STANDARD CHARTERED BANK (HONG KONG) LIMITED

FINAL TERMS FOR THE WARRANTS. Warrants issued pursuant to these Final Terms are securities to be listed under Listing Rule 19.

Part A Contractual Terms

PART A CONTRACTUAL TERMS. Not Applicable. 4. Issue Price: 99,862 per cent. of the Aggregate Nominal Amount. 15 April 2014

PART A CONTRACTUAL TERMS

Final Terms dated December 10, 2015 CANADIAN IMPERIAL BANK OF COMMERCE

FINAL TERMS UNITED UTILITIES WATER FINANCE PLC

FINAL TERMS PART A - CONTRACTUAL TERMS. 1. Issuer: Banco Bilbao Vizcaya Argentaria, S.A. (a) Series: EUR 1,500,000,000. (b) Tranche: EUR 1,500,000,000

Final Terms dated October 24, 2016 CANADIAN IMPERIAL BANK OF COMMERCE

FINAL TERMS. Not Applicable

FINAL TERMS ICBC STANDARD BANK PLC U.S.$3,500,000,000. Note Issuance Programme SERIES NO: 1131

PART A CONTRACTUAL TERMS. Not Applicable. 4. Issue Price: per cent. of the Aggregate Nominal Amount

PART A CONTRACTUAL TERMS

Final Terms dated 12 April Renault. Euro 7,000,000,000 Euro Medium Term Note Programme for the issue of Notes

PSB FINANCE S.A. (the Issuer ) société anonyme with registered office at 2, Boulevard Konrad Adenauer, L-1115 Luxembourg, RCS Luxembourg B 118.

IMPORTANT NOTICE. In accessing the attached final terms (the "Final Terms") you agree to be bound by the following terms and conditions.

PART A - CONTRACTUAL TERMS FOR TIER 2 NOTES

15 March Applicable. (ii) Fixed Coupon Amounts: EUR per Calculation Amount.

FINAL TERMS. Final Terms dated 11 July AA Bond Co Limited. Issue of Sub-Class A6 250,000,000 Fixed Rate Class A Notes

Transcription:

PRICING SUPPLEMENT Pricing Supplement dated 12 April 2016 HSBC Bank plc Programme for the Issuance of Notes and Warrants Issue of 1,797 Currency Warrants linked to the GBP/USD exchange rate issued pursuant to HSBC Bank plc's Programme for the Issuance of Notes and Warrants PART A CONTRACTUAL TERMS This document constitutes the pricing supplement ("Pricing Supplement") relating to the issue of the Tranche of Warrants described herein for the purposes of listing on the Official List of the Irish Stock Exchange and must be read in conjunction with the Offering Memorandum dated 12 June 2015 as supplemented from time to time (the "Offering Memorandum") which, together with this Pricing Supplement, constitute listing particulars for the purposes of listing on the Global Exchange Market. Terms used herein shall be deemed to be defined as such for the purposes of the terms and conditions of the Notes (the "Conditions") set forth in such Offering Memorandum. Full information on the Issuer and the offer of the Warrants is only available on the basis of the combination of this Pricing Supplement and the Offering Memorandum. The Offering Memorandum is available for viewing at HSBC Bank plc, 8 Canada Square, London E14 5HQ, United Kingdom and www.hsbc.com (please follow links to 'Investor relations', 'Fixed income securities', 'Issuance programmes') and copies may be obtained from HSBC Bank plc, 8 Canada Square, London E14 5HQ, United Kingdom. The Offering Memorandum does not comprise (i) a prospectus for the purposes of Part VI of the Financial Services and Markets Act 2000 (as amended) or a base prospectus for the purposes of Directive 2003/71/EC as amended (the "Prospectus Directive"). The Offering Memorandum has been prepared solely with regard to Warrants that are not to be admitted to listing or trading on any regulated market for the purposes of Directive 2004/39/EC and not to be offered to the public in a Member State (other than pursuant to one or more of the exemptions set out in Article 3.2 of the Prospectus Directive). It is advisable that investors considering acquiring any Warrants understand the risks of transactions involving the Warrants and it is advisable that they reach an investment decision after carefully considering, with their financial, legal, regulatory, tax, accounting and other advisers, the suitability of the Warrants in light of their particular circumstances (including without limitation their own financial circumstances and investment objectives and the impact the Warrants will have on their overall investment portfolio) and the information contained in the Offering Memorandum and this Pricing Supplement. Investors should consider carefully the risk factors set forth under "Risk Factors" in the Offering Memorandum. 1

1. Issuer: HSBC Bank plc 2. Tranche number: 1 3. Settlement Currency: GBP 4. Aggregate Number of Warrants in the: (i) Series: 1,797 Tranche: 1,797 5. Face Value: GBP 1,000 per Warrant 6. Issue Date: 13 April 2016 7. Issue Price: GBP 31.69 per Warrant 8. Strike Price: 9. Type of Warrants: European Style Call Warrants 10. Series represented by: Global Registered Warrant. Warrants in definitive form will not be issued. 11. Form of Warrant: Registered Warrants 12. Style of Warrants: The Warrants are European Style Call Warrants. Condition 4(b) is applicable. 13. (i) Expiry Date: 24 June 2016 or if such date is not an Underlying Business Day the immediately following day that is an Underlying Business Day. (iii) Trade Date Automatic Exercise: 06 April 2016 Not Applicable. (iv) Exercise Period: Not Applicable.. 14. (i) Minimum Exercise Number/Minimum Trading Size: 1 Warrant Permitted Multiple: 1 Warrant 15. Cash Settlement: Applicable. The Warrants are Cash Settlement Warrants. Condition 4(d) (Cash Settlement applies). (i) Cash Settlement Amount: An amount, per Warrant, determined by the Calculation Agent in accordance with the following formula: Face Value * Return Where: 2

Cash Settlement Payment Date: Return means (i) If the Straddle Performance on the Underlying Fixing Date is greater than zero (0), the Currency Performance, or Otherwise, zero (0) Straddle Performance means: i i i i 1 FXinitial FX final FX final FX * Max ; initial 2 i i FX final FX final FX initial means the Initial Underlying Exchange Rate FX final means the Underlying Exchange Rate 01 July 2016 or if later, the fifth Business Day following the Expiry Date. 16. Physical Settlement: 17. (i) Payment of Alternative Payment Currency Equivalent: Underlying provisions: Applicable. The Initial Underlying Exchange Rate is 1.4085, expressed as the number of USD per one GBP. -Cross Currency Exchange Rate - Reference Currency: USD - Reference Currency Jurisdiction: - Specified Currency: Business Days: Fixing Date: United States of America GBP New York, London 24 June 2016 3

Fixing Page: Fixing Time: Exchange Rate Fall-Back provisions: Bloomberg page WIMCO 16:00 London time Condition 1 applies (iii) - FX Disruption: Applicable, provided, however, that sub-paragraph (i) of Condition 9(f) (FX Disruption) shall not apply. (iv) - LBMA Physical Settlement Provisions: 18. Business Centre: New York 19. Determination Date: 20. Selling Restrictions: In addition to selling restrictions listed in "Purchase and Sale of the Warrants" contained in the Offering Memorandum: TEFRA not applicable 21. Other Terms:. DISTRIBUTION 22. (i) If syndicated, names of Relevant Manager(s)/Lead Manager(s): If syndicated, names of other Managers (if any): 23. Exemption(s) from requirements under Directive 2003/71/EC (as amended) (the "Prospectus Directive"): The offer is addressed solely to qualified investors (as such term is defined in the Prospectus Directive) 4

CONFIRMED HSBC BANK PLC By:... Authorised Signatory Date:... 5

PART B OTHER INFORMATION 1. LISTING (i) Listing: Application has been made to admit the Notes to listing on the Official List of the Irish Stock Exchange. No assurance can be given as to whether or not, or when, such application will be granted. (iii) Admission to trading: Estimated total expenses of admission to trading: Application will be made for the Notes to be admitted to trading on the Global Exchange Market with effect from the Issue Date. No assurance can be given as to whether or not, or when, such application will be granted. EUR 500 2. INTERESTS OF NATURAL AND LEGAL PERSONS INVOLVED IN THE ISSUE Save for any fees payable to the Manager(s), so far as the Issuer is aware, no person involved in the issue of the Warrants has an interest material to the issue. The Manager(s) and their affiliates have engaged, and may in the future engage, in investment banking and/or commercial banking transactions with, and may perform other services for, the Issuer and its affiliates in the ordinary course of business. 3. REASONS FOR THE OFFER ESTIMATED NET PROCEEDS AND TOTAL EXPENSES (i) Reasons for the offer: (iii) Estimated net proceeds: Estimated total expenses: OPERATIONAL INFORMATION 4. ISIN Code: GB00BYQBDY99 5. Common Code: 139501004 6. CUSIP: 7. Valoren Number: 8. SEDOL: BYQBDY9 9. WKN: 10. Any clearing system(s) other than Euroclear, and Clearstream, Luxembourg and the relevant identification number(s): None 11. Delivery: Delivery against payment 12. Additional Warrant None 6

Agent(s) (if any): 13. Common Depositary: HSBC Bank plc 14. Calculation Agent: HSBC Bank plc 15. City in which specified office of Warrant Registrar to be maintained 16. ERISA Considerations: ERISA prohibited 7