[6-K] HSBC Holdings PLC Current Report (Foreign Issuer)
HSBC Holdings plc announced results of four separate U.S. dollar tender offers to purchase outstanding series of subordinated notes. The company has accepted an aggregate principal amount of $580,014,257.48 of Notes for purchase; payment of the applicable consideration and accrued interest will be made on September 11, 2025. All Notes accepted will be cancelled and retired and will no longer be outstanding obligations. Some accepted amounts reflect tenders submitted under the Guaranteed Delivery Procedures and remain subject to those procedures. The Offers expired on September 8, 2025 at 5:00 p.m. New York City time. The announcement notes jurisdictional distribution restrictions and includes contact details for the Dealer Manager and Information Agent.
HSBC Holdings plc ha annunciato i risultati di quattro distinte offerte in dollari statunitensi per l'acquisto di serie in circolazione di obbligazioni subordinate. La società ha accettato un ammontare nominale complessivo di $580.014.257,48 di Note per l'acquisto; il pagamento della corrispondente contropartita e degli interessi maturati sarà effettuato l'11 settembre 2025. Tutte le Note accettate saranno cancellate e ritirate e non costituiranno più obbligazioni in circolazione. Alcuni importi accettati derivano da offerte presentate nell'ambito delle Procedure di Consegna Garantita e sono soggetti a tali procedure. Le Offerte sono scadute l'8 settembre 2025 alle ore 17:00, ora di New York. L'annuncio segnala restrizioni sulla distribuzione per giurisdizione e include i dettagli di contatto del Dealer Manager e dell'Information Agent.
HSBC Holdings plc anunció los resultados de cuatro ofertas separadas en dólares estadounidenses para comprar series en circulación de notas subordinadas. La compañía ha aceptado un importe principal agregado de $580,014,257.48 de Notas para la compra; el pago de la contraprestación aplicable y de los intereses devengados se realizará el 11 de septiembre de 2025. Todas las Notas aceptadas serán canceladas y retiradas y dejarán de ser obligaciones pendientes. Algunos importes aceptados responden a ofertas presentadas en virtud de los Procedimientos de Entrega Garantizada y siguen sujetos a dichos procedimientos. Las Ofertas vencieron el 8 de septiembre de 2025 a las 17:00, hora de Nueva York. El anuncio indica restricciones de distribución por jurisdicción e incluye los datos de contacto del Dealer Manager y del Agente de Información.
HSBC Holdings plc� 발행 중인 열성채권(subordinated notes) 시리즈를 매입하기 위한 � 건의 � 달러 공개매입 결과� 발표했습니다. 회사� 총액 $580,014,257.48 상당� 채권� 매입하기� 수락했으�, 해당 대가 � 미지� 이자� 2025� 9� 11일에 지급될 예정입니�. 수락� 모든 채권은 취소 � 소각되어 � 이상 미지� 채무가 되지 않습니다. 일부 수락 금액은 보증 납입 절차(Guaranteed Delivery Procedures)� 따라 제출� 입찰분을 반영하며 해당 절차� 적용� 받습니다. 공개매입은 2025� 9� 8� 뉴욕 시간으로 오후 5시에 만료되었습니�. 발표문에� 관할구역별 배포 제한� 명시되어 있으� 딜러 매니저(Dealer Manager) � 정보대리인(Information Agent)� 연락처가 포함되어 있습니다.
HSBC Holdings plc a annoncé les résultats de quatre offres distinctes en dollars américains visant à racheter des séries de billets subordinés en circulation. La société a accepté un montant principal agrégé de $580,014,257.48 de Notes pour rachat ; le paiement de la contrepartie applicable et des intérêts courus sera effectué le 11 septembre 2025. Toutes les Notes acceptées seront annulées et radiées et ne constitueront plus des obligations en circulation. Certains montants acceptés correspondent à des remises effectuées dans le cadre des procédures de livraison garantie (Guaranteed Delivery Procedures) et restent soumis à ces procédures. Les Offres ont expiré le 8 septembre 2025 à 17h00, heure de New York. L'annonce indique des restrictions de distribution selon les juridictions et inclut les coordonnées du Dealer Manager et de l'Information Agent.
HSBC Holdings plc gab die Ergebnisse von vier separaten US-Dollar-Angeboten zum Rückkauf ausstehender Tranchen von nachrangigen Schuldverschreibungen bekannt. Das Unternehmen hat eine aggregierte Nennsumme von $580.014.257,48 an Notes zum Kauf angenommen; die Zahlung der entsprechenden Gegenleistung und der aufgelaufenen Zinsen erfolgt am 11. September 2025. Alle angenommenen Notes werden annulliert und ausgelöscht und sind damit nicht mehr als Verbindlichkeiten ausstehend. Einige angenommene Beträge spiegeln Angebote wider, die im Rahmen der Verfahren für garantierte Lieferung (Guaranteed Delivery Procedures) eingereicht wurden, und unterliegen diesen Verfahren. Die Angebote liefen am 8. September 2025 um 17:00 Uhr New Yorker Zeit ab. Die Bekanntgabe weist auf vertriebsrechtliche Beschränkungen nach Gerichtsbarkeit hin und enthält Kontaktangaben des Dealer Managers und des Information Agent.
- Aggregate accepted principal of $580,014,257.48 reduces outstanding subordinated debt when cancelled and retired
- Settlement date set for September 11, 2025, providing a clear timeline for payment and cancellation
- Offers succeeded in obtaining valid tenders for the specified series as of the Expiration Time
- Some accepted amounts are subject to Guaranteed Delivery Procedures, leaving limited conditionality until deliveries are completed
- Announcement does not disclose consideration paid per series, limiting transparency on immediate cash outflow and accounting impact
Insights
TL;DR HSBC accepted roughly $580m of subordinated notes for repurchase, to be settled and cancelled on September 11, 2025.
The tender results indicate a targeted liability management action reducing outstanding subordinated debt by the accepted principal amount of $580,014,257.48. Payment of consideration plus accrued interest is scheduled for the Settlement Date, after which accepted notes will be cancelled. Some accepted tenders are subject to Guaranteed Delivery Procedures, which introduces limited conditionality until those deliveries are completed. This reduces HSBC's outstanding subordinated obligations and could modestly affect leverage and capital composition depending on how the repurchases are funded and accounted for.
TL;DR The company completed multiple series tenders; accepted principal totals $580.0m and will remove those bonds from the capital structure.
From a debt markets perspective, the acceptance and planned cancellation of these note series is a straightforward liability management execution. The announcement confirms acceptance across the specified series and clarifies settlement mechanics including accrued interest treatment and cessation of interest on the Settlement Date. Jurisdictional disclaimers indicate offers were conducted under private placement exemptions. The only outstanding conditionality arises from Guaranteed Delivery Procedures for certain tenders; otherwise the transaction should be mechanically complete on settlement.
HSBC Holdings plc ha annunciato i risultati di quattro distinte offerte in dollari statunitensi per l'acquisto di serie in circolazione di obbligazioni subordinate. La società ha accettato un ammontare nominale complessivo di $580.014.257,48 di Note per l'acquisto; il pagamento della corrispondente contropartita e degli interessi maturati sarà effettuato l'11 settembre 2025. Tutte le Note accettate saranno cancellate e ritirate e non costituiranno più obbligazioni in circolazione. Alcuni importi accettati derivano da offerte presentate nell'ambito delle Procedure di Consegna Garantita e sono soggetti a tali procedure. Le Offerte sono scadute l'8 settembre 2025 alle ore 17:00, ora di New York. L'annuncio segnala restrizioni sulla distribuzione per giurisdizione e include i dettagli di contatto del Dealer Manager e dell'Information Agent.
HSBC Holdings plc anunció los resultados de cuatro ofertas separadas en dólares estadounidenses para comprar series en circulación de notas subordinadas. La compañía ha aceptado un importe principal agregado de $580,014,257.48 de Notas para la compra; el pago de la contraprestación aplicable y de los intereses devengados se realizará el 11 de septiembre de 2025. Todas las Notas aceptadas serán canceladas y retiradas y dejarán de ser obligaciones pendientes. Algunos importes aceptados responden a ofertas presentadas en virtud de los Procedimientos de Entrega Garantizada y siguen sujetos a dichos procedimientos. Las Ofertas vencieron el 8 de septiembre de 2025 a las 17:00, hora de Nueva York. El anuncio indica restricciones de distribución por jurisdicción e incluye los datos de contacto del Dealer Manager y del Agente de Información.
HSBC Holdings plc� 발행 중인 열성채권(subordinated notes) 시리즈를 매입하기 위한 � 건의 � 달러 공개매입 결과� 발표했습니다. 회사� 총액 $580,014,257.48 상당� 채권� 매입하기� 수락했으�, 해당 대가 � 미지� 이자� 2025� 9� 11일에 지급될 예정입니�. 수락� 모든 채권은 취소 � 소각되어 � 이상 미지� 채무가 되지 않습니다. 일부 수락 금액은 보증 납입 절차(Guaranteed Delivery Procedures)� 따라 제출� 입찰분을 반영하며 해당 절차� 적용� 받습니다. 공개매입은 2025� 9� 8� 뉴욕 시간으로 오후 5시에 만료되었습니�. 발표문에� 관할구역별 배포 제한� 명시되어 있으� 딜러 매니저(Dealer Manager) � 정보대리인(Information Agent)� 연락처가 포함되어 있습니다.
HSBC Holdings plc a annoncé les résultats de quatre offres distinctes en dollars américains visant à racheter des séries de billets subordinés en circulation. La société a accepté un montant principal agrégé de $580,014,257.48 de Notes pour rachat ; le paiement de la contrepartie applicable et des intérêts courus sera effectué le 11 septembre 2025. Toutes les Notes acceptées seront annulées et radiées et ne constitueront plus des obligations en circulation. Certains montants acceptés correspondent à des remises effectuées dans le cadre des procédures de livraison garantie (Guaranteed Delivery Procedures) et restent soumis à ces procédures. Les Offres ont expiré le 8 septembre 2025 à 17h00, heure de New York. L'annonce indique des restrictions de distribution selon les juridictions et inclut les coordonnées du Dealer Manager et de l'Information Agent.
HSBC Holdings plc gab die Ergebnisse von vier separaten US-Dollar-Angeboten zum Rückkauf ausstehender Tranchen von nachrangigen Schuldverschreibungen bekannt. Das Unternehmen hat eine aggregierte Nennsumme von $580.014.257,48 an Notes zum Kauf angenommen; die Zahlung der entsprechenden Gegenleistung und der aufgelaufenen Zinsen erfolgt am 11. September 2025. Alle angenommenen Notes werden annulliert und ausgelöscht und sind damit nicht mehr als Verbindlichkeiten ausstehend. Einige angenommene Beträge spiegeln Angebote wider, die im Rahmen der Verfahren für garantierte Lieferung (Guaranteed Delivery Procedures) eingereicht wurden, und unterliegen diesen Verfahren. Die Angebote liefen am 8. September 2025 um 17:00 Uhr New Yorker Zeit ab. Die Bekanntgabe weist auf vertriebsrechtliche Beschränkungen nach Gerichtsbarkeit hin und enthält Kontaktangaben des Dealer Managers und des Information Agent.