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Financial liabilties designated at fair value (Tables)
12 Months Ended
Dec. 31, 2019
Financial Instruments [Abstract]  
Disclosure of financial liabilities measured at fair value
 
 
2019

2018

 
Footnotes
$m

$m

Deposits by banks
1
4,187

4,871

Customer accounts
1
6,999

8,614

Other debt securities in issue (Note 25)
 
1,404

1,400

Other liabilities – net short positions in securities
 
70,580

69,546

At 31 Dec
 
83,170

84,431

1
‘Deposits by banks’ and ‘Customer accounts’ include repos, stock lending and other amounts.
HSBC

 
2019

2018


Footnotes
$m

$m

Deposits by banks and customer accounts
1
17,660

19,003

Liabilities to customers under investment contracts
 
5,893

5,458

Debt securities in issue (Note 25)
 
130,364

109,351

Subordinated liabilities (Note 28)
 
10,130

14,282

Preferred securities (Note 28)
 
419

411

At 31 Dec
 
164,466

148,505


1
Structured deposits placed at HSBC Bank USA and HSBC Trust Company (Delaware) National Association are insured by the Federal Deposit Insurance Corporation, a US government agency, up to $250,000 per depositor.
HSBC Holdings

2019

2018


$m

$m

Debt securities in issue (Note 25)
24,687

17,767

Subordinated liabilities (Note 28)
5,616

7,282

At 31 Dec
30,303

25,049

HSBC’s subordinated liabilities
 
2019

2018

 
$m

$m

At amortised cost
24,600

22,437

– subordinated liabilities
22,775

20,651

– preferred securities
1,825

1,786

Designated at fair value (Note 24)
10,549

14,693

– subordinated liabilities
10,130

14,282

– preferred securities
419

411

At 31 Dec
35,149

37,130

Issued by HSBC subsidiaries
12,363

13,168

Issued by HSBC Holdings
22,786

23,962

HSBC’s subsidiaries subordinated liabilities in issue
 
 
 
 
2019

2018

 
Footnotes
First call date

Maturity date
$m

$m

Additional tier 1 capital securities guaranteed by HSBC Holdings
1
 
 
 
 
$900m
10.176% non-cumulative step-up perpetual preferred securities, series 2
 
Jun 2030

 
900

892

 
 
 
 
 
900

892

Additional tier 1 capital securities guaranteed by HSBC Bank plc
1
 
 




£300m
5.862% non-cumulative step-up perpetual preferred securities
 
Apr 2020

 
420

411

£700m
5.844% non-cumulative step-up perpetual preferred securities
 
Nov 2031

 
925

894

 
 
 
 
 
1,345

1,305

Tier 2 securities issued by HSBC Bank plc
 
 
 




$750m
Undated floating rate primary capital notes
 
Jun 1990

 
750

750

$500m
Undated floating rate primary capital notes
 
Sep 1990

 
500

500

$300m
Undated floating rate primary capital notes, series 3
 
Jun 1992

 
300

300

$300m
7.65% subordinated notes
 

May 2025
300

300

 
 
 
 
 
1,850

1,850

 
 
 
 
 




£300m
6.50% subordinated notes
 

Jul 2023
396

382

£350m
5.375% callable subordinated step-up notes
2
Nov 2025

Nov 2030
549

513

£500m
5.375% subordinated notes
 

Aug 2033
875

757

£225m
6.25% subordinated notes
 

Jan 2041
296

286

£600m
4.75% subordinated notes
 

Mar 2046
785

758

 
 
 
 
 
4,751

4,546

Tier 2 securities issued by The Hongkong and Shanghai Banking Corporation Ltd
 
 
 




$400m
Primary capital undated floating rate notes (third series)
 
Jul 1991

 
400

400

 
 
 
 
 
400

400

Tier 2 securities issued by HSBC Bank Malaysia Berhad
 
 
 




MYR500m
5.05% subordinated bonds
 
Nov 2022

Nov 2027
122

121

 
 
 
 
 
122

121

Tier 2 securities issued by HSBC USA Inc.
 
 
 




$750m
5.00% subordinated notes
6

Sep 2020
748

747

$250m
7.20% subordinated debentures
6

Jul 2097
221

221

 
Other subordinated liabilities each less than $150m
3
 
 
202

269

 
 
 
 
 
1,171

1,237

Tier 2 securities issued by HSBC Bank USA, N.A.
 
 
 




$1,250m
4.875% subordinated notes
 

Aug 2020
1,246

1,226

$1,000m
5.875% subordinated notes
4

Nov 2034
463

1,106

$750m
5.625% subordinated notes
4

Aug 2035
496

829

$700m
7.00% subordinated notes
 

Jan 2039
700

697

 
 
 
 
 
2,905

3,858

Tier 2 securities issued by HSBC Finance Corporation
 
 
 




$2,939m
6.676% senior subordinated notes
5, 6

Jan 2021
507

507

 
 
 
 
 




Tier 2 securities issued by HSBC Bank Canada
 
 
 




 
Other subordinated liabilities each less than $150m
 
Oct 1996

Nov 2083
26

29

 
 
 
 
 
26

29

Securities issued by other HSBC subsidiaries
 
 
 




Other subordinated liabilities each less than $200m
3
 
 
236

273

Subordinated liabilities issued by HSBC subsidiaries at 31 Dec
7
 
 
12,363

13,168

1
See paragraph below, ‘Guaranteed by HSBC Holdings or HSBC Bank plc’.
2
The interest rate payable after November 2025 is the sum of the three-month sterling Libor plus 1.5 percentage points.
3
Some securities included here are ineligible for inclusion in the capital base of HSBC.
4
HSBC tendered for these securities in November 2019. The principal balance is $358m and $383m respectively. The original notional of these securities are $1,000m and $750m respectively.
5
HSBC tendered for these securities in 2017. In January 2018, a further tender was conducted. The principal balance is $507m. The original notional of these securities is $2,939m.
6
These securities are ineligible for inclusion in the capital base of HSBC.
7
Approximately $60m of these securities were held by HSBC Holdings.
HSBC Holdings’ subordinated liabilities
 
2019

2018

 
$m

$m

At amortised cost
18,361

17,715

Designated at fair value (Note 24)
5,616

7,282

At 31 Dec
23,977

24,997

HSBC Holdings’ subordinated liabilities in issue
 
 
First call

Maturity
2019

2018

 
Footnotes
date

date
$m

$m

Tier 2 securities issued by HSBC Holdings
 
 
 
 
 
Amounts owed to third parties
 
 
 
 
 
$2,000m
4.25% subordinated notes
2,3

 Mar 2024
2,076

2,001

$1,500m
4.25% subordinated notes
2

Aug 2025
1,611

1,494

$1,500m
4.375% subordinated notes
2

 Nov 2026
1,626

1,470

$488m
7.625% subordinated notes
1

May 2032
545

549

$222m
7.35% subordinated notes
1

Nov 2032
245

246

$2,000m
6.5% subordinated notes
1

May 2036
2,036

2,040

$2,500m
6.5% subordinated notes
1

Sep 2037
2,738

2,419

$1,500m
6.8% subordinated notes
1

Jun 2038
1,490

1,489

$1,500m
5.25% subordinated notes
2,3

Mar 2044
1,886

1,661

 
 
 
 
 
 


£650m
5.75% subordinated notes
2

Dec 2027
1,059

960

£650m
6.75% subordinated notes
2

Sep 2028
855

826

£750m
7.0% subordinated notes
2

Apr 2038
1,064

992

£900m
6.0% subordinated notes
2

Mar 2040
1,294

1,156

 
 
 
 
 
 


€1,750m
6.0% subordinated notes
2

Jun 2019

2,125

€1,500m
3.375% subordinated notes
2,3
Jan 2019

Jan 2024

1,719

€1,500m
3.0% subordinated notes
2

Jun 2025
1,736

1,725

€1,000m
3.125% subordinated notes
2

Jun 2028
1,321

1,233







21,582

24,105

Amounts owed to HSBC undertakings








$900m
10.176% subordinated step-up cumulative notes

Jun 2030

Jun 2040
892

892







892

892

Other securities issued by HSBC Holdings
 
 
 
 
 
Amounts owed to third parties
 
 
 
 
 
$1,500m
5.625% contingent convertible securities
4
Nov 2019

Jan 2020
1,503








1,503


At 31 Dec




23,977

24,997

1
Amounts owed to third parties represent securities included in the capital base of HSBC as tier 2 securities in accordance with the grandfathering provisions under CRR II. Prior period figures are included on a CRD IV basis.
2
These securities are included in the capital base of HSBC as fully CRR II-compliant tier 2 securities on an end point basis.
3
These subordinated notes are measured at amortised cost in HSBC Holdings, where the interest rate risk is hedged using a fair value hedge, while they are measured at fair value in the Group.
4
This security was called by HSBC Holdings on 22 November 2019 and was redeemed and cancelled on 17 January 2020. Between the date of exercise of the call option and the redemption, this security was considered to be a subordinated liability. Refer to Note 31 for further details on additional Tier 1 securities.