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HSBC Holdings PLC — Investor Relations & Filings

Ticker · HSBA ISIN · GB0005405286 LEI · MLU0ZO3ML4LN2LL2TL39 HKEX Financial and insurance activities
Filings indexed 17,839 across all filing types
Latest filing 2026-03-17 Interest Rate Update/No…
Country GB United Kingdom
Listing HKEX HSBA

About HSBC Holdings PLC

https://www.hsbc.com/

HSBC Holdings PLC is a global banking and financial services organization that serves millions of customers worldwide. The company provides a comprehensive suite of financial products and services through its three main global businesses. The Wealth and Personal Banking division caters to individuals, offering retail banking, wealth management, and asset management solutions. The Commercial Banking segment supports a wide range of clients, from small and medium-sized enterprises to large corporations. The Global Banking and Markets division delivers tailored financial and advisory services to corporate, government, and institutional clients, facilitating international trade and investment flows through its extensive global network.

Recent filings

Filing Released Lang Actions
FRN Variable Rate Fix
Interest Rate Update/Notice Classification · 100% confidence The document provides specific details regarding a variable interest rate determination for a financial instrument (FRN Series 5 issued by Clydesdale Bank PLC). It lists the benchmark rate, margin, total rate, and the resulting interest payment amount per denomination. This aligns perfectly with the definition of an Interest Rate Update/Notice.
2026-03-17 English
FRN Variable Rate Fix
Interest Rate Update/Notice Classification · 100% confidence The document provides specific details regarding a variable interest rate determination for a financial instrument (Series 10, XS3095269539) issued by Clydesdale Bank PLC. It lists the benchmark rate, margin, total interest rate, and payment amounts. This aligns perfectly with the definition for an Interest Rate Update/Notice.
2026-03-17 English
424B2 - HSBC HOLDINGS PLC (0001089113) (Filer)
Capital/Financing Update Classification · 100% confidence The document is a preliminary prospectus supplement filed pursuant to Rule 424(b)(2) under the Securities Act, related to the offering of perpetual subordinated contingent convertible securities by HSBC Holdings plc. It contains detailed terms of the securities, including interest rates, redemption options, conversion events, and regulatory disclosures. This type of document is a capital markets offering document, specifically a prospectus supplement, which updates or supplements a base prospectus for a securities offering. It is not an annual report, earnings release, or any other financial report type. It is also not a regulatory filing in the sense of compliance or certification, nor is it a report publication announcement. The document is a detailed capital/financing update regarding a new securities issuance. Therefore, the appropriate classification is Capital/Financing Update (CAP). The document length and content support a high confidence in this classification.
2026-03-17 English
Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a standard RNS (Regulatory News Service) announcement providing the daily Net Asset Value (NAV) for the HSBC FTSE 100 UCITS ETF. It includes the valuation date, total net assets, and NAV per share. This fits the definition of a Net Asset Value (NAV) update for an investment fund.
2026-03-17 English
Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a standard RNS (Regulatory News Service) filing from the London Stock Exchange providing the Net Asset Value (NAV) for the 'HSBC FTSE EPRA NAREIT DEVELOPED ISLAMIC UCITS ETF'. It explicitly lists the 'NET Asset Value' and 'NAV per Share' for a specific valuation date, which is the defining characteristic of a NAV update filing.
2026-03-17 English
Net Asset Value(s)
Net Asset Value Classification · 100% confidence The document is a standard RNS (Regulatory News Service) announcement providing the daily Net Asset Value (NAV) for an HSBC ETF. It includes the fund name, valuation date, ISIN, shares in issue, and the calculated NAV per share. This fits the definition of a Net Asset Value (NAV) update.
2026-03-17 English

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