Filed pursuant to Rule 433
Registration No. 333-135007
May 19, 2008
HSBC Holdings plc
Final Term Sheet:
Lead Manager: |
HSBC Securities (USA) Inc. (80.5%)
|
Senior Co-Managers: |
ABN AMRO Incorporated (1.5%) BNP Paribas Securities Corp. (1.5%) Citigroup Global Markets Inc. (1.5%) Credit Suisse Securities (USA) LLC (1.5%) RBC Capital Markets Corporation (1.5%) Scotia Capital (USA) Inc. (1.5%) |
Co-Managers: |
Comerica Securities, Inc. (1.0%) Fifth Third Securities, Inc. (1.0%) Mizuho Securities USA Inc. (1.0%) Morgan Stanley & Co. Incorporated (1.0%) National Australia Bank Limited, London Branch (1.0%) UBS Securities LLC (1.0%) Wells Fargo Brokerage Services (1.0%) |
Junior Co-Managers: |
ANZ Securities, Inc. (0.5%) BNY Capital Markets, Inc. (0.5%) CIBC World Markets Corp. (0.5%) Commerzbank Capital Markets Corp. (0.5%) Santander Investment Securities Inc. (0.5%) Wachovia Capital Markets, LLC (0.5%) TD Securities (USA) LLC (0.5%) |
Structure: |
30-year Global Fixed Rate Subordinated Notes |
Ratings: |
Aa3/A+/AA-(Stable Outlook/Stable Outlook/Stable Outlook) |
Pricing Date: |
May 19, 2008 |
Settlement Date: |
May 27, 2008 |
Maturity Date: |
June 1, 2038 |
Form of Note: |
Subordinated Notes (Lower Tier II) |
Form of Offering: |
SEC Registered Global |
Transaction Details:
Principal Amount: |
$1,500,000,000 |
Benchmark Treasury: |
UST 5.00% due May 2037 |
Treasury Yield: |
4.567% |
Treasury Price: |
106-29+ |
Re-offer Spread: |
UST + 225 basis points |
Coupon: |
6.800% |
Re-offer Yield: |
6.817% |
Issue Price: |
99.783% |
Gross Fees: |
0.875% |
Net Price: |
98.908% |
Total Proceeds to Issuer: |
$1,483,620,000 |
Interest Payment Dates: |
Semi-annual on each 1st December and 1st June , commencing 1st December, 2008 |
Call Features: |
NCL |
Day Count Convention: |
30/360 |
Minimum Denominations: |
$100,000 and integral multiples of $1,000 thereafter |
Listing: |
NYSE |
Principal Paying Agent: |
HSBC Bank USA, N.A. |
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