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by Oleksandr Vynychuk
Sep 15, 2026 9:57 AM ET
Issuer | Term | Call | Coupon | Maturity | Size | Ranking | Type | ISIN | Price | Yield | Spread | IPT-PXD |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
HSBC Holdings plc | 4NC3 | 3y | 3mE+75bp | 22-Sep-30 | €1bn | Sr Unsec | Floating | XS3504856603 | 100 | - | 3mE+75 | -25 |
HSBC Holdings plc | 6NC5 | 5y | 4.431% | 22-Sep-32 | €1.25bn | Sr Unsec | Fixed to Floating | XS3504856868 | 100 | 4.431% | MS+90 | -22.5 |
HSBC Holdings plc | 11NC10 | 10y | 4.777% | 22-Sep-37 | €1.5bn | Sr Unsec | Fixed to Floating | XS3504857080 | 100 | 4.777% | MS+120 | -22.5 |
Reoffer: 4NC3: 3mE+75bp / 100 6NC5: MS+90bp / 100 / 4.431% 11NC10: MS+120bp / 100 / 4.777%
Benchmark: 6NC5: OBL 2.9 10-Aug-31 @ 97.81 / B+105.7bp, HR 97% 11NC10: DBR 3 15-Aug-36 @ 95.44 / B+122.5bp, HR 97%
Tranche 1 (4NC3): Final book at reoffer >€2.0bn. Peak book >€2.0bn
Tranche 2 (6NC5): Final book at reoffer >€4.1bn. Peak book >€4.1bn
Tranche 3 (11NC10): Final book at reoffer >€4.4bn. Peak book >€4.4bn
Launched:
4NC3: €1bn @ DM+75bp
6NC5: €1.25bn @ MS+90bp
11NC10: €1.5bn @ MS+120bp
Spread set at:
4NC3: DM+75bp - Orderbook at €2bn, Expect €1bn
6NC5: MS+90bp - Orderbook at €3.25bn, Expect €1.25bn
11NC10: MS+120bp - Orderbook >€3.50bn, Expect €1.25-1.50bn (max)
Book Update: Combined books >€6bn (skew fxd legs)
IPTs: 4NC3: 3mE+100a 6NC5: MS+110/115a 11NC10: MS+140/145a