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HSBC France € 20,000,000,000 Euro Medium Term Note Programme

HSBC France € 20,000,000,000 Euro Medium Term Note Programme

HSBC France € 20,000,000,000 Euro Medium Term Note Programme

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146<br />

the name of the index and a description of the<br />

index if it is composed by the issuer. If the index<br />

is not composed by the issuer, where information<br />

about the index can be obtained: [=]<br />

- where the underlying is a security:<br />

[Applicable/Not Applicable]<br />

the name of the issuer of the security: [=]<br />

the ISIN (International Security Identification<br />

Number) or other such security identification [=]<br />

code:<br />

- where the underlying is an interest rate: [Applicable/Not Applicable]<br />

a description of the interest rate: [=]<br />

- others: [Applicable/Not Applicable]<br />

where the underlying does not fall within the<br />

categories specified above the Final <strong>Term</strong>s shall<br />

contain equivalent information:<br />

[=]<br />

- where the underlying is a basket of underlyings: [Applicable/Not Applicable]<br />

disclosure of the relevant weightings of each<br />

underlying in the basket: [=]<br />

A description of any market disruption or settlement<br />

disruption events that affect the underlying: [=]<br />

Adjustment rules with relation to events concerning<br />

the underlying:] * [=]<br />

OTHER<br />

Name and address of Calculation Agent: [=]<br />

[Information on taxes on the income from the <strong>Note</strong>s withheld<br />

at source in the country where admission to trading (other<br />

than in Luxembourg and <strong>France</strong>) is sought: [=]]<br />

17. [Derivatives only – POST ISSUANCE INFORMATION CONCERNING THE UNDERLYING<br />

The Issuer will not provide any post-issuance information, except if required by any applicable laws and<br />

regulations.<br />

[If post-issuance information is to be reported, specify what information will be reported and where such<br />

information can be obtained.]]<br />

18. OPERATIONAL INFORMATION<br />

ISIN Code: [=]<br />

*<br />

Required for derivative securities to which Annex XII to the Prospectus Directive Regulation applies. See footnote 8 above.

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