REG - HSBC Holdings PLC - Director/PDMR Shareholding
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RNS Number : 6047A HSBC Holdings PLC 13 March 2025
HSBC HOLDINGS PLC
13 March 2025
Notification of Transactions by Persons Discharging Managerial
Responsibilities ("PDMRs")
1. Annual Incentive awards (Performance Year 2021)
Deferred awards (the "Awards") of US$0.50 ordinary shares (the "Shares") in
HSBC Holdings plc (the "Company") were granted in 2022 as a part of variable
pay for the performance year ended 31 December 2021.
On 11 March 2025, tranches of the Awards granted in 2022 vested and the
following transactions took place in London:
Directors
Name Total number of Shares vested Number of Shares sold at £8.441503 per Share(1)
Georges Elhedery 54,632 25,678
Pam Kaur 42,108 19,791
Other PDMRs
Name Total number of Shares vested Number of Shares sold at £8.441503 per Share(1)
Richard Blackburn 11,711 5,505
David Liao 27,591 4,415
Barry O'Byrne 25,908 4,146
Michael Roberts 43,415 22,164
Surendra Rosha 27,591 4,415
Ian Stuart 21,269 9,997
Suzanna White 12,542 5,557
( )
(1) Represents shares sold to cover withholding tax.
The PDMRs are required to retain a number of Shares equivalent in value to
those that vested under the Awards (net of tax liabilities) for twelve months
from the original vesting date with the exception of Suzanna White who is
subject to a six-month retention period.
2. Long Term Incentive awards (2022 to 2024 performance period)
Long Term Incentive awards (the "LTI Awards") of US$0.50 ordinary shares (the
"Shares") in HSBC Holdings plc (the "Company") were granted in 2022, with a
three-year forward-looking performance period commencing on 1 January 2022 and
ending on 31 December 2024. The performance outcome of 75% was determined
based on an assessment by the Group Remuneration Committee of performance
against financial and non-financial measures, as detailed in the Directors'
Remuneration Report in the Annual Report and Accounts 2024. Shares will vest
in five equal annual instalments, each with a one-year retention period,
commencing from March 2025.
On 11 March 2025, tranches of the LTI Awards granted in 2022 vested and the
following transactions took place in London:
Directors
Name LTI Award lapsed Total number of Shares vested Number of Shares sold at £8.441503 per Share(1)
Georges Elhedery 11,200 33,597 15,791
Pam Kaur 8,404 25,211 11,850
Other PDMRs
Name LTI Award lapsed Total number of Shares vested Number of Shares sold at £8.441503 per Share(1)
David Liao 6,543 19,627 3,141
Barry O'Byrne 5,966 17,895 2,864
Michael Roberts 9,758 29,271 14,943
Surendra Rosha 6,543 19,627 3,141
Ian Stuart 5,703 17,107 8,041
(1) Represents shares sold to cover withholding tax.
3. Annual Incentive awards (Performance Year 2023)
Awards of Shares in the Company were granted in 2024 as a part of variable pay
for the performance year ended 31 December 2023.
On 12 March 2025, tranches of the Awards granted in 2024 vested and the
following transactions took place in London:
Other PDMRs
Name Total number of Shares vested Number of Shares sold at £8.477055 per Share(1)
David Liao 10,785 1,726
Stuart Riley 49,805 23,409
Michael Roberts 21,084 10,764
Surendra Rosha 11,177 1,789
Suzanna White 15,231 6,748
(1) Represents shares sold to cover withholding tax.
The PDMRs are required to retain a number of Shares equivalent in value to
those that vested under the Awards (net of tax liabilities) for twelve months
from the original vesting date with the exception of Suzanna White who is
subject to a six-month retention period.
For the purpose of the below disclosures, the value of the awards which vested
on 11 and 12 March 2025 has been calculated using the closing Share price on
the London Stock Exchange on 7 March 2024 of £8.7640.
The following disclosures are made in accordance with the UK version of the EU
Market Abuse Regulation 596/2014.
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Georges Elhedery
2 - Reason for the notification
Position/status Group Chief Executive
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 88,229 £
7
7
3
,
2
3
8
.
9
6
Aggregated £8.764 88,229 £
7
7
3
,
2
3
8
.
9
6
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 41,469 £
3
5
0
,
0
6
0
.
6
9
Aggregated £8.442 41,469 £
3
5
0
,
0
6
0
.
6
9
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 11,200 £
0
Aggregated £0.00 11,200 £
0
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Pam Kaur
2 - Reason for the notification
Position/status Group Chief Financial Officer
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 67,319 £
5
8
9
,
9
8
3
.
7
2
Aggregated £8.764 67,319 £
5
8
9
,
9
8
3
.
7
2
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 31,641 £
2
6
7
,
0
9
7
.
6
0
Aggregated £8.442 31,641 £
2
6
7
,
0
9
7
.
6
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 8,404 £
0
Aggregated £0.00 8,404 £
0
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Richard Blackburn
2 - Reason for the notification
Position/status Interim Group Chief Risk and Compliance Officer
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 11,711 £
1
0
2
,
6
3
5
.
2
0
Aggregated £8.764 11,711 £
1
0
2
,
6
3
5
.
2
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 5,505 £
4
6
,
4
7
0
.
4
7
Aggregated £8.442 5,505 £
4
6
,
4
7
0
.
4
7
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person David Liao
2 - Reason for the notification
Position/status Co-Chief Executive, Asia and Middle East
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 47,218 £
4
1
3
,
8
1
8
.
5
5
Aggregated £8.764 47,218 £
4
1
3
,
8
1
8
.
5
5
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 7,556 £
6
3
,
7
8
4
.
0
0
Aggregated £8.442 7,556 £
6
3
,
7
8
4
.
0
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 6,543 £
0
Aggregated £0.00 6,543 £
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 10,785 £
9
4
,
5
1
9
.
7
4
Aggregated £8.764 10,785 £
9
4
,
5
1
9
.
7
4
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.48 1,726 £
1
4
,
6
3
1
.
4
0
Aggregated £8.477 1,726 £
1
4
,
6
3
1
.
4
0
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Barry O'Byrne
2 - Reason for the notification
Position/status Chief Executive, International Wealth and Premier Banking
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 43,803 £
3
8
3
,
8
8
9
.
4
9
Aggregated £8.764 43,803 £
3
8
3
,
8
8
9
.
4
9
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 7,010 £
5
9
,
1
7
4
.
9
4
Aggregated £8.442 7,010 £
5
9
,
1
7
4
.
9
4
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 5,966 £
0
Aggregated £0.00 5,966 £
0
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Stuart Riley
2 - Reason for the notification
Position/status Group Chief Information Officer
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 49,805 £
4
3
6
,
4
9
1
.
0
2
Aggregated £8.764 49,805 £
4
3
6
,
4
9
1
.
0
2
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.48 23,409 £
1
9
8
,
4
3
9
.
3
8
Aggregated £8.477 23,409 £
1
9
8
,
4
3
9
.
3
8
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Michael Roberts
2 - Reason for the notification
Position/status Chief Executive, HSBC Bank plc and Corporate and Institutional Banking
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 72,686 £
6
3
7
,
0
2
0
.
1
0
Aggregated £8.764 72,686 £
6
3
7
,
0
2
0
.
1
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 37,107 £
3
1
3
,
2
3
8
.
8
5
Aggregated £8.442 37,107 £
3
1
3
,
2
3
8
.
8
5
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 9,758 £
0
Aggregated £0.00 9,758 £
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 21,084 £
1
8
4
,
7
8
0
.
1
8
Aggregated £8.764 21,084 £
1
8
4
,
7
8
0
.
1
8
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.48 10,764 £
9
1
,
2
4
7
.
0
2
Aggregated £8.477 10,764 £
9
1
,
2
4
7
.
0
2
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Surendra Rosha
2 - Reason for the notification
Position/status Co-Chief Executive, Asia and Middle East
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 47,218 £
4
1
3
,
8
1
8
.
5
5
Aggregated £8.764 47,218 £
4
1
3
,
8
1
8
.
5
5
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 7,556 £
6
3
,
7
8
4
.
0
0
Aggregated £8.442 7,556 £
6
3
,
7
8
4
.
0
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 6,543 £
0
Aggregated £0.00 6,543 £
0
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 11,177 £
9
7
,
9
5
5
.
2
3
Aggregated £8.764 11,177 £
9
7
,
9
5
5
.
2
3
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.48 1,789 £
1
5
,
1
6
5
.
4
5
Aggregated £8.477 1,789 £
1
5
,
1
6
5
.
4
5
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Ian Stuart
2 - Reason for the notification
Position/status Chief Executive, HSBC UK Bank plc
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 38,376 £
3
3
6
,
3
2
7
.
2
6
Aggregated £8.764 38,376 £
3
3
6
,
3
2
7
.
2
6
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 18,038 £
1
5
2
,
2
6
7
.
8
3
Aggregated £8.442 18,038 £
1
5
2
,
2
6
7
.
8
3
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Lapse of 2022 Long Term Incentive awards
£0.00 5,703 £
0
Aggregated £0.00 5,703 £
0
1 - Details of the person discharging managerial responsibilities / person
closely associated
Name of natural person Suzanna White
2 - Reason for the notification
Position/status Group Chief Operating Officer
Initial notification/amendment Initial Notification
3 - Details of the issuer, emission allowance market participant, auction
platform, auctioneer or auction monitor
Full name of the entity HSBC Holdings plc
Legal Entity Identifier code MLU0ZO3ML4LN2LL2TL39
4 - Details of the transaction(s)
Transaction(s) summary table
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 1 £
2 1
, 0
5 9
4 ,
2 9
1
8
.
0
9
Aggregated £8.764 1 £
2 1
, 0
5 9
4 ,
2 9
1
8
.
0
9
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-11 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.44 5 £
, 4
5 6
5 ,
7 9
0
9
.
4
3
Aggregated £8.442 5 £
, 4
5 6
5 ,
7 9
0
9
.
4
3
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Acquisitions under the HSBC Share Plan 2011
£8.76 1 £
5 1
, 3
2 3
3 ,
1 4
8
4
.
4
8
Aggregated £8.764 1 £
5 1
, 3
2 3
3 ,
1 4
8
4
.
4
8
Date of Transaction Financial Instrument Identification Code Place of Transaction Currency
2025-03-12 Ordinary shares of US$0.50 each GB0005405286 London Stock Exchange, Main Market (XLON) GBP - British Pound
Nature of Transaction: Price Volume Total
Disposal
£8.48 6 £
, 5
7 7
4 ,
8 2
0
3
.
1
7
Aggregated £8.477 6 £
, 5
7 7
4 ,
8 2
0
3
.
1
7
For any queries related to this notification, please contact:
Lee Davis
Corporate Governance & Secretariat
shareholderquestions@hsbc.com
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