Company: HBCYF
Filing Date: 2025-10-28
Form Type: 6-K
Source: 0001654954-25-012267
Chunk: 46

Company: HSBC HOLDINGS PLC
Filing Date: 2025-10-28
Form: 6-K
Chunk 46
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BC Bank plc | The Hongkong and Shanghai Banking Corporation Limited | HSBC Bank Middle East Limited | HSBC North America Holdings Inc. | HSBC Bank Canada | GrupoFinancieroHSBC, S.A.de C.V. | Other trading entities | Holdingcompanies,sharedservicecentres 
            andintra-groupeliminations | Total |
|                                                       |                            $m |            $m | $m                                                    |                            $m |                               $m |               $m | $m                               |                     $m |                                    $m |    $m |
| Revenue                                               |                               |               |                                                       |                               |                                  |                  |                                  |                        |                                       |       |
| Disposals, wind-downs, acquisitions and related       
 costs1                                                |                             - |          -128 | -                                                     |                             - |                                - |                - | -                                |                     -6 |                                 3,777 | 3,643 |
| Early redemption of legacy securities                 |                             - |             - | -                                                     |                             - |                                - |                - | -                                |                      - |                                  -283 |  -283 |
| Operating expenses                                    |                               |               |                                                       |                               |                                  |                  |                                  |                        |                                       |       |
| Disposals, wind-downs, acquisitions and related costs |                             3 |            -5 | -                                                     |                             - |                              -21 |              -36 | -                                |                    -31 |                                   -59 |  -149 |
| Restructuring and other related costs2                |                             5 |            11 | -                                                     |                             2 |                                - |                - | -                                |                      - |                                     4 |    22 |

1 Includes a $4.8bn gain on disposal of our banking business in Canada, inclusive of a $0.3bn gain on the foreign exchange hedging of the sale proceeds, the recycling of $0.6bn in foreign currency translation reserve losses and $0.4bn of other reserves losses. This was partly offset by a $1.2bn impairment recognised in relation to the sale of our business in Argentina.

2 Amounts relate to reversals of restructuring provisions recognised during 2022.

| Reported and constant currency results - legal entities 
 (continued)1                                            | Quarter ended 30 Sep 2025 |               |                  |                               |                                  |                                  |               |                                       |           |
|:--------------------------------------------------------|--------------------------:|--------------:|-----------------: