The following replaces the announcement released on the 04th May 2021 at 11.09am. The ISIN GB00BK5S2353 was delisted in error and this ISIN remains listed. All other information remains unchanged. The full amended text appears below. CORPORATE EVENT NOTICE: Cancellation Notice LOCATION: Dublin DATE: 4th May 2021 MARKET: Global Exchange Market CANCELLATION NOTICE Listing and trading of the under mentioned securities has been cancelled with effect from 30th April 2021. EFG-HERMES MENA SECURITIES LIMITED Series SHAMAL R1810/2 - Issue of 400,000 Notes linked to AL TAYYAR TRAVEL GROUP CO. due 30 April 2021 XS1609728743 Final Terms HSBC BANK PLC Issue of EUR 1,000,000 Equity-Linked Notes due April 2021 linked to Units of UNITED STATES OIL FUND LP XS2163341758 Debt Security EFG-HERMES MENA SECURITIES LIMITED Series SHAMAL R 4260 /2 - Issue of USD 2,000,000 Notes linked to UNITED INTERNATIONAL TRANS. (BUDGET) due 30 April 2021 XS1609728586 Final Terms HSBC BANK PLC Issue of GBP 10000000 Fixed Rate Notes due May 2021 XS1063885807 Final Terms HSBC BANK PLC Issue of EUR 800,000 Variable Coupon Automatic Early Redemption Reverse Convertible Equity- Linked Notes due 03 May 2021 linked to ordinary shares of BANCO SANTANDER SA XS1987175764 Final Terms HSBC BANK PLC Issue of EUR 9,100,000 Variable Coupon Automatic Early Redemption Reverse Convertible Equity- Linked Notes due 03 May 2021 linked to ordinary shares of BANCO SANTANDER SA XS1973750273 Final Terms HSBC BANK PLC Issue of EUR 600,000 Variable Coupon Automatic Early Redemption Reverse Convertible Equity- Linked Notes due 03 May 2021 linked to ordinary shares of INDUSTRIA DE DISENO TEXTIL XS1987175848 Final Terms HSBC BANK PLC Issue of EUR 600,000 Variable Coupon Automatic Early Redemption Reverse Convertible Equity- Linked Notes due 03 May 2021 linked to ordinary shares of MICHELIN XS1987176143 Final Terms HSBC BANK PLC Issue of USD 760,000 Equity-Linked Notes due 03rd May 2021 linked to units of Consumer Staples SPDR XS1816654757 Final Terms HSBC CONTINENTAL EUROPE Issue of USD 30,000,000 Index Linked Certificates due 03rd May 2021 FR0013326030 Final Terms This announcement has been issued through the Companies Announcement Service of Euronext Dublin. The present notice and the contents thereof are only provided for information purposes in order to facilitate the fair, orderly and efficient functioning of the market and is not a recommendation to engage in investment activities. The contents of this notice are provided “as is” based on information provided to the market operator without representation or warranty of any kind. Euronext will not be held liable for any loss or damages of any nature ensuing from using, trusting or acting on information provided. No information set out or referred to in this notice shall form the basis of any contract. The creation of rights and obligations in respect of financial products that are traded on the exchanges operated by Euronext’s subsidiaries shall depend solely on the applicable rules of the market operator. The Euronext Markets comprise the markets operated by Euronext Amsterdam, Euronext Brussels, Euronext Dublin, Euronext Lisbon, Euronext Paris and Euronext UK Markets, referred to respectively as the Amsterdam, Brussels, Dublin, Lisbon, Paris and London markets, as relevant. Euronext refers to Euronext N.V. and its affiliates. Information regarding trademarks and intellectual property rights of Euronext is located at https://www.euronext.com/terms-use. © 2019 Euronext N.V. - All rights reserved .
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