Early Repurchase(s)

13th Jun 2025 16:56

ISIN

XS2846982317

Issuer Name

HSBC Bank Plc

Paying Agent

HSBC Bank plc

Redemption Type

Repurchase

Currency

USD

O/S Balance

4,000,000.00

New Balance

0.00

Value Date

04-Jun-25

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