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HSBC Bank Malta Plc — Investor Relations & Filings

Ticker · HSB ISIN · MT0000030107 LEI · 549300X34UUBDEUL1Z91 MALTEX Financial and insurance activities
Filings indexed 6,001 across all filing types
Latest filing 2025-03-14 Capital/Financing Update
Country MT Malta
Listing MALTEX HSB

About HSBC Bank Malta Plc

https://www.hsbc.com.mt/

HSBC Bank Malta Plc is a financial services provider offering a comprehensive suite of products for personal and business clients. Its personal banking division includes a variety of accounts (current, savings, term deposit), debit and credit cards, and lending solutions such as mortgages, personal loans, and overdrafts. The bank's wealth and investment services cover financial planning, a diverse range of investment funds including locally managed and international portfolios, and retirement planning solutions. Furthermore, it provides insurance products, including life, travel, and critical illness cover. Services are accessible through a multi-channel network of physical branches and digital platforms like online and mobile banking.

Recent filings

Filing Released Lang Actions
Issuer Document
Capital/Financing Update Classification · 1% confidence The document explicitly states it is a 'Notice of Aggregate Principal Amount' for 'Preference Share-linked Notes' and cites Article 17(2) of the UK Prospectus Regulation. This regulation pertains to the disclosure of the final aggregate principal amount of securities offered to the public. This type of specific financial instrument update, related to debt/financing structure confirmation, fits best under 'Capital/Financing Update' (CAP), as it finalizes the size of a specific debt issuance (Notes). It is not a general earnings release, annual report, or management change announcement. Given the context of finalizing the principal amount of notes issued under a program, CAP is the most appropriate classification.
2025-03-14 English
Issuer Document
Capital/Financing Update Classification · 1% confidence The document is titled "Final Terms dated: 16 January 2025" and details the contractual terms for the "Issue of Up to GBP 25,000,000 Notes linked to UKSED3P Investments Limited Preference Shares Series 3044" under a Programme for the Issuance of Notes and Warrants. This structure—a Base Prospectus supplemented by Final Terms—is characteristic of debt or structured product issuance documentation, specifically related to capital raising or financing activities. It outlines denominations, issue price, maturity date, and redemption terms. This aligns best with the Capital/Financing Update (CAP) category, as it documents the specific terms of a new debt issuance.
2025-03-14 English
Issuer Document
Capital/Financing Update Classification · 1% confidence The document is titled "Final Terms dated: 13 February 2025" and details the specific terms for the "Issue of 1,250,000 Notes (USD 9,987,500) Market Access Notes linked to ordinary shares issued by DERAYAH FINANCIAL CO". This structure—a document that supplements a Base Prospectus to finalize the terms of a specific debt/security issuance—is characteristic of a prospectus supplement or final terms document used in capital markets transactions. This document outlines the contractual terms, redemption provisions, and equity-linked note provisions for a specific tranche of notes issued under a Programme. This directly relates to the company's fundraising and financing activities. Comparing this to the definitions: - It is not an Annual Report (10-K), Interim Report (IR), or Earnings Release (ER). - It is highly specific to the terms of a security issuance, which aligns best with Capital/Financing Update (CAP). - It is not a general announcement (RPA/RNS) but the definitive legal document setting the terms for the capital raised. Therefore, the most appropriate classification is Capital/Financing Update (CAP).
2025-03-13 English
Issuer Document
Capital/Financing Update Classification · 1% confidence The document is titled "Final Terms dated: 12 March 2025" and details the terms for the "Further Issue of 1,600,000 Notes (USD 14,800,000) Market Access Notes linked to ordinary shares issued by BOURSA KUWAIT SECURITIES". It explicitly references a Base Prospectus and discusses contractual terms, redemption provisions, and equity-linked note provisions, all within the context of issuing debt securities (Notes). This structure—a Final Terms document supplementing a Base Prospectus—is characteristic of securities offering documentation, specifically related to debt or capital raising activities. Among the provided codes, 'CAP' (Capital/Financing Update) is the most appropriate category for documentation detailing the specific terms of a new debt issuance (Notes). It is not a general Annual Report (10-K), an Earnings Release (ER), or a general Investor Presentation (IP).
2025-03-13 English
Issuer Document
Capital/Financing Update Classification · 1% confidence The document is titled 'Final Terms' relating to the 'Programme for the Issuance of Notes and Warrants' by HSBC Bank plc. It details contractual terms, issue price, maturity date, and specific features of a debt instrument (Notes linked to Preference Shares). This structure—a Final Terms document supplementing a Base Prospectus—is characteristic of securities offering documentation, specifically related to capital raising or financing activities. This aligns best with the 'Capital/Financing Update' category (CAP), which covers company fundraising and financing activities, as this document finalizes the terms of a specific note issuance.
2025-03-12 English
Issuer Document
Capital/Financing Update Classification · 1% confidence The document is a 'Notice of Aggregate Principal Amount' issued by HSBC Bank plc regarding specific 'Preference Share-linked Notes'. It explicitly states that the final Aggregate Principal Amount is confirmed, citing Article 17(2) of the UK Prospectus Regulation. This type of announcement, detailing the final size of a specific debt/security issuance, most closely aligns with a Capital/Financing Update (CAP), as it finalizes the terms of a capital instrument (Notes). It is not a full report (10-K, IR), an earnings release (ER), or a dividend notice (DIV). Given the context of issuing notes, CAP is the most appropriate classification.
2025-03-12 English

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