Company: HBCYF
Filing Date: 2025-05-12
Form Type: 424B5
Source: 0001193125-25-117014
Chunk: 74

Company: HSBC HOLDINGS PLC
Filing Date: 2025-05-12
Form: 424B5
Chunk 74
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 Fixed/Floating Rate Notes to be redeemed, if applicable. If applicable, new Fixed/Floating Rate Notes in a principal amount equal to the
unredeemed portion of the Fixed/Floating Rate Notes will be issued in the name of the noteholder of such note upon surrender for cancellation of the original Fixed/Floating Rate Notes. For so long as the Fixed/Floating Rate Notes are held by DTC (or
another depositary), the redemption of such Fixed/Floating Rate Notes shall be done in accordance with the policies and procedures of the depositary.

Par Redemption

2031 Fixed/Floating Rate Notes Par Redemption

Following the 2031 Fixed/Floating Rate Notes Make-Whole Redemption Period, we may also redeem the 2031 Fixed/Floating
Rate Notes in whole (but not in part) in our sole discretion on the 2031 Fixed/Floating Rate Notes Par Redemption Date (a “2031 Fixed/Floating Rate Notes Par Redemption”). The redemption price will be equal to 100% of their principal
amount plus any accrued and unpaid interest to (but excluding) the 2031 Fixed/Floating Rate Notes Par Redemption Date.

2036 Fixed/Floating Rate Notes Par Redemption

Following the 2036 Fixed/Floating Rate Notes Make-Whole Redemption Period, we may also redeem the 2036 Fixed/Floating
Rate Notes in whole (but not in part) in our sole discretion on the 2036 Fixed/Floating Rate Notes Par Redemption Date (a “2036 Fixed/Floating Rate Notes Par Redemption”). The redemption price will be equal to 100% of their principal
amount plus any accrued and unpaid interest to (but excluding) the 2036 Fixed/Floating Rate Notes Par Redemption Date.

S-50

Floating Rate Notes Par Redemption We may redeem the Floating Rate Notes in whole (but not in part) in our sole discretion on May 13, 2030 (the “Floating Rate Notes Par Redemption Date”) (a “Floating Rate Notes Par Redemption”). The redemption price will be equal to 100% of their principal amount plus any accrued and unpaid interest to (but excluding) the Floating Rate Notes Par Redemption Date. “Par Redemption” means any of the 2031 Fixed/Floating Rate Notes Par Redemption, the 2036 Fixed/Floating Rate Notes Par Redemption or the Floating Rate Notes Par Redemption, as applicable. “Par Redemption Date” means any of the 2031 Fixed/Floating Rate Notes Par Redemption Date, the 2036 Fixed/Floating Rate Notes Par Redemption Date