Company: HBCYF
Filing Date: 2025-02-27
Form Type: 424B5
Source: 0001193125-25-039401
Chunk: 92

Company: HSBC HOLDINGS PLC
Filing Date: 2025-02-27
Form: 424B5
Chunk 92
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Fixed/Floating Rate Notes Fixed Rate Period Interest Payment Date” means March 3 and September 3 of each year, during the 2036 Fixed/Floating Rate Notes Fixed Rate Period, beginning on September 3, 2025.

“2036 Fixed/Floating Rate Notes Floating Rate Interest Period” means, during the 2036 Fixed/Floating Rate Notes Floating Rate
Period, the period beginning on (and including) a 2036 Fixed/Floating Rate Notes Floating Rate Period Interest Payment Date and ending on (but excluding) the next succeeding 2036 Fixed/Floating Rate Notes Floating Rate Period Interest Payment Date;
provided that the first 2036 Fixed/Floating Rate Notes Floating Rate Interest Period will begin on (and include) March 3, 2035 and will end on (but exclude) the first 2036 Fixed/Floating Rate Notes Floating Rate Period Interest Payment Date.

“2036 Fixed/Floating Rate Notes Floating Rate Period” has the meaning given to that term under
“—Interest—2036 Fixed/Floating Rate Notes.”

“2036 Fixed/Floating Rate Notes Floating Rate Period
Interest Payment Date” means June 3, 2035, September 3, 2035, December 3, 2035 and March 3, 2036.

“2036 Fixed/Floating Rate
Notes Initial Interest Rate” means 5.450% per annum.

“2036 Fixed/Floating Rate Notes Interest Payment Date” means any 2036
Fixed/Floating Rate Notes Fixed Rate Period Interest Payment Date or 2036 Fixed/Floating Rate Notes Floating Rate Period Interest Payment Date, as applicable.

“2036 Fixed/Floating Rate Notes Make-Whole Redemption” has the meaning given to that term under “—Redemption.”

“2036 Fixed/Floating Rate Notes Make-Whole Redemption Period” has the meaning given to that term under
“—Redemption.”

S-62

“2036 Fixed/Floating Rate Notes Margin” has the meaning given to that term under
“—Interest—2036 Fixed/Floating Rate Notes.”

“2036 Fixed/Floating Rate Notes Maturity Date” has the
meaning given to that term in the sixth paragraph of this “Description of the Notes.”

“2036 Fixed/Floating Rate
Notes Par Redemption” has the meaning given to that term under “—Redemption.”

“2036 Fixed/Floating Rate
Notes Par Redemption Date” has the meaning given to that term under “—Redemption.”

“Additional
Amounts” has