Old Symbol
|
New Symbol
|
Issue Type
|
Issue Name
|
HBC
|
HSBC
|
ADS Common
|
American Depository Shares (each representing 5 Ordinary Shares of nominal value US$0.50 each)
|
HBC PR A
|
HSBC PR A
|
ADS Preferred
|
American Depositary Shares evidenced by American Depositary receipts, each representing one-fortieth of a Share of 6.20% Non-Cumulative Dollar Preference Shares, Series A
|
HBC 21
|
HSBC 21
|
ADS Corporate Bond
|
5.10% Senior Unsecured Notes Due 2021
|
HBC 22
|
HSBC 22
|
ADS Corporate Bond
|
4.875% Senior Unsecured Notes due 2022
|
HBC 22A
|
HSBC 22A
|
ADS Corporate Bond
|
4.00% Senior Unsecured Notes Due 2022
|
HBC 36
|
HSBC 36
|
ADS Corporate Bond
|
$900,000,000 Subordinated Notes Due 2036
|
HBC 37
|
HSBC 37
|
ADS Corporate Bond
|
Subordinated Notes Due 2037
|
HBC 38
|
HSBC 38
|
ADS Corporate Bond
|
Subordinated Notes Due 2038
|
HBC 42
|
HSBC 42
|
ADS Corporate Bond
|
6.100% Senior Unsecured Notes Due 2042
|
HCS
|
HSEA
|
Structured Product
|
Perpetual Subordinated Capital Securities
|
HCS PR B
|
HSEB
|
Structured Product
|
Perpetual Subordinated Capital Securities, Series 2
|
HSBC Finance Corporation
|
||||
Old Symbol
|
New Symbol
|
Issue Type
|
Issue Name
|
|
HSBC PR B
|
HSFC PR B
|
ADS Preferred
|
Depositary Shares, each representing one-fortieth of a share of 6.36% Non-Cumulative Preferred Stock, Series B
|
|
HBC /14
|
HSFC 14
|
ADS Corporate Bond
|
Floating Rate Notes due January 15, 2014
|
|
HBC /14A
|
HSFC 14A
|
ADS Corporate Bond
|
5.25% Fixed Rate Notes due January 15, 2014
|
|
HBC /15
|
HSFC 15
|
ADS Corporate Bond
|
5% Notes due June 30, 2015
|
|
HBC /16
|
HSFC 16
|
ADS Corporate Bond
|
5.5% Notes due January 19, 2016
|
|
HBC /16A
|
HSFC 16A
|
ADS Corporate Bond
|
Floating Rate Notes due June 1, 2016
|
|
HSBC Finance Capital Trust IX
|
||||
Old Symbol
|
New Symbol
|
Issue Type
|
Issue Name
|
|
HBC /35
|
HSFC /35
|
ADS Corporate Bond
|
Capital Securities (Liquidation Amount $100,000)
|
|
HSBC USA Inc.
|
||||
Old Symbol
|
New Symbol
|
Issue Type
|
Issue Name
|
|
HBA PR D
|
HUSI PR D
|
ADS Preferred
|
Depositary Shares, Each Representing a One-Fourth Interest in a share of Adjustable Rate Cumulative Preferred Stock, Series D ($100 stated value per share)
|
|
HBA PR F
|
HUSI PR F
|
ADS Preferred
|
Floating Rate Non-Cumulative Preferred Stock, Series F
|
|
HBA PR G
|
HUSI PR G
|
ADS Preferred
|
Depositary Shares, each representing one-fortieth of a share of Floating Rate Non-Cumulative Preferred Stock, Series G
|
|
HBA PR H
|
HUSI PR H
|
ADS Preferred
|
Depositary Shares, each representing one-fortieth of a share of 6.50% Non-Cumulative Preferred Stock, Series H
|
|
HBA PR Z
|
HUSI PR Z
|
ADS Preferred
|
$2.8575 Cumulative Preferred Stock ($50 stated value per share)
|
|
HBA /43
|
HUSI 43
|
ADS Corporate Bond
|
Zero Coupon Callable Accreting Notes due January 15, 2043
|
|
HBA /43A
|
HUSI 43A
|
ADS Corporate Bond
|
Zero Coupon Callable Accreting Notes due January 29, 2043
|
|
HBA /43B
|
HUSI 43B
|
ADS Corporate Bond
|
Zero Coupon Callable Accreting Notes due May 7, 2043
|
|
HBA /43C
|
HUSI 43C
|
ADS Corporate Bond
|
Zero Coupon Callable Accreting Notes due June 17, 2043
|