21 Jul 2021 17:32
ISIN | GB00B41DSG77 |
Issuer Name | HSBC Bank Plc |
Paying Agent | HSBC Bank Plc |
Redemption Type | REPURCHASE |
Currency | USD |
O/S Balance | 500,000.00 |
New Balance | - |
Value Date | 20-Jul-21 |
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