Closing Level on Issue Date

HSBC 100+ Series BRIC Investment As of 24 July 2013 Maturity 20 June 2014 Value of HSBC 100+ Series BRIC Investment per unit Value of unpaid fee per...
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HSBC 100+ Series BRIC Investment As of 24 July 2013 Maturity

20 June 2014

Value of HSBC 100+ Series BRIC Investment per unit Value of unpaid fee per unit Combined value of investment per unit Capital protection at maturity per unit

$0.9599050 $0.0049380 $0.9648430 $1.0000000

HSBC 100+ Series Up and Out As of 26 March 2010 Maturity

Index S&P 500 DJ Eurostoxx 50 S&P/ASX 200 Hang Seng Nikkei 225 * Source : HSBC

26 March 2014 Bloomberg Code SPX Index SX5E Index AS51 Index HSI Index NKY Index

Issue price per unit Indicative value per unit Observation Date

Closing Level on Issue Date 832.86 2,156.97 3,646.60 14,108.98 8,636.33

Removal Level (115%) 957.79 2,480.52 4,193.59 16,225.33 9,931.78

Closing Level* 1,166.59 2,940.94 4,896.90 21,053.11 10,996.37

% Compared with Initial Level 140.07% 136.35% 134.29% 149.22% 127.33%

$1.00 On request 26-Mar-10

As all five Underlying Indices have reached their respective levels on the first Observation Date, a Return Confimation Event has occurred. As a result Investors will receive the Investment Return of 35% at Maturity, 26 March 2014 (as adjusted in accordance with the Conditions detailed within the PDS), together with their Investment Amount.

HSBC 100+ Series S&P/ASX 200 Linked Investment Maturity Return Cap Initial Index Level

17 June 2014 70% 4,637.893

As of 25 July 2013

Index S&P/ASX 200 * Source : Bloomberg

Bloomberg Code AS51 Index

Initial Index Level 4,637.893

Closing Level* 5,035.612

% Compared with Initial Level 108.58%

HSBC 100+ Series China Region Investment Maturity Growth Cap Income Cap

30 June 2015 80% 11.5% p.a.

As of 25 July 2013

Initial Index Level Current Level* Return * Source : Bloomberg

Hang Seng MSCI Taiwan 20,726.68 265.31 21,900.96 289.04 5.67% 8.94% The Underlying Indices Return is

China A Shares Fund 12.0600 9.1000 -24.54% -3.31%

Income Amount Paid Jun 2011 $0.076332 per $1 invested Jun 2012 $0 per $1 invested

HSBC 100+ Series China Investment Maturity Participation Rate Initial Level of the Strategy Value

11 November 2015 110% 100

As of 19 July 2013 Strategy Value* Compared to Initial Strategy Value

70.92 70.92%

* Source: Bloomberg

HSBC 100+ Series Emerging Markets Outperformance Investment Maturity Growth Participation Income Participation Initial Level of Strategy Value

30 March 2014 100% 70% p.a. 1,005.28

As of 24 July 2013 Strategy Value* Current Strategy Value Return * Source : Bloomberg

664.29 -33.92%

HSBC 100+ Series Asian Equity Investment Maturity Growth Cap Income Cap

30 June 2016 100% 12.8% p.a.

As of 25 July 2013

Hang Seng Hang Seng China Enterprises Index Taiwan TAIEX Index KOSPI 200 Index (South Korea) MSCI Singapore Free Index SET 50 Index (Thailand) iShares® MSCI India ETF * Source : Bloomberg

Initial Index Current Level Level* 22,061.78 21,900.96 12,486.79 9,752.60 8,478.86 8,163.58 270.41 247.71 352.51 369.20 707.33 987.42 7.25 5.88 The Underlying Indices Return is

Current Return -0.7% -21.9% -3.7% -8.4% 4.7% 39.6% -18.9% -1.33%

iShares® is a (registered) trademark of Blackrock Institutional Trust Company, N.A. Income Amount Paid Jun 2012 $0 per $1 invested

HSBC 100+ Series China Region Investment II Maturity Growth Cap Income Cap

30 September 2016 90% 12.0% p.a.

As of 25 July 2013

Initial Index Level Current Level* Return * Source : Bloomberg

Hang Seng Taiwan TAIEX 17,407.80 6,877.12 21,900.96 8,163.58 25.81% 18.71% The Underlying Indices Return is

Income Amount Paid Sep 2012 $0.065751 per $1 invested

A50 China ETF 10.48 9.10 -13.17% 10.45%

HSBC 100+ Series Global Goals Investment Final Observation Date Annual Investment Return

16 December 2016 $ 0.095 p.a.

As of 25 July 2013

Index S&P/ASX 200 - Australia DAX® Index - Germany ^ Taiwan TAIEX Index MSCI Singapore Free Index iShares® MSCI Brazil Index Fund * Source : Bloomberg

Initial Index Level 4,190.50 5,675.14 6,922.57 304.11 56.52

Goal Level 5,028.595 6,810.168 8,307.084 364.932 67.824

Current Level* 5,035.612 N.A. 8,163.580 369.200 44.760

% Compared with Initial Level 120.17% N.A. 117.93% 121.40% 79.19%

^ A Goal Event has occurred for DAX Index on 17 Dec 2012. The DAX Index was at 7,604.94 (134.00% of its Initial Level) and therefore will no longer be observed on the subsequent Observation Dates. DAX® is a registered trademark of Deutsche Borse AG. This financial instrument is neither sponsored nor promoted, distributed or in any other manner supported by Deutsche Borse AG. iShares® is a (registered) trademark of Blackrock Institutional Trust Company, N.A.

HSBC 100+ Series International Equity Investment Maturity Growth Cap Level Income Cap Level

28 March 2017 $4.00 per $1.00 invested $0.18 per annum per $1.00 invested

As of 25 July 2013

SMI® Index Taiwan TAIEX Index MSCI Singapore Free Index S&P/ASX 200 Index * Source : Bloomberg

Initial Index Current Level Level* 6,283.26 7,865.38 7,967.62 8,163.58 344.03 369.20 4,262.80 5,035.61 The Underlying Indices Return is

SMI® is a registered trademark of the Swiss Exchange SWX. Income Amount Paid Mar 2013 $0.1140 per $1 invested

Current Return 25.2% 2.5% 7.3% 18.1% 13.27%

HSBC Equity Linked Investment - Series 1 Maturity Coupon Rate

21 June 2013 10% p.a.

As of 21 June 2013

BHP Biliton 32.200 20.930 30.180 No 34.770 107.98%

Coco-Cola Amatil 13.000 8.450 12.400 No 13.040 100.31%

National Australia Bank 23.140 15.041 23.110 No 30.870 133.41%

Wesfarmers Ltd Initial Value 29.600 Barrier Value 19.240 Lowest Closing Value to date* 29.200 Has a Barrier Breach Event occurred? No Current Closing Value* 40.030 Current Closing Value / Initial Value 135.24% * Source : Bloomberg This Investment has matured on 21 June 2013. As a Barrier Breach Event has not occurred , investors received 100% of the Investment Amount and a coupon of 10%.

HSBC Equity Linked Investment - Series 2 & 3 Maturity Series 2 (AUD) Series 3 (USD)

9 August 2013 10% p.a. 7% p.a.

Coupon Rate Coupon Rate

As of 25 July 2013

Initial Value Barrier Value Lowest Closing Value to date* Has a Barrier Breach Event occurred? Current Closing Value* Ratio of current Closing Value/Initial * Source : Bloomberg

Origin Energy 12.280 7.982 11.840 No 12.080 98.37%

Rio Tinto 56.450 36.693 50.540 No 57.500 101.86%

Westpac Banking Corp. Wesfarmers Ltd 23.610 32.270 15.347 20.976 24.785 34.410 No No 30.060 40.030 127.32% 124.05%

HSBC Global Access Investment - Series 1 Maturity Growth Cap

27 September 2016 200%

As of 25 July 2013

MSCI Emerging Markets Index (MXEF) S&P/ASX 200 Index (AS51) Reference Assets Return Growth Observation Date 20-Dec-12 20-Mar-13 20-Jun-13 20-Sep-13 20-Dec-13 20-Mar-14 20-Jun-14 22-Sep-14 22-Dec-14 20-Mar-15 22-Jun-15 21-Sep-15 21-Dec-15 21-Mar-16 20-Jun-16 20-Sep-16

Initial Index Level Current Level 998.270 962.360 4,397.228 5,035.612

MXEF 1,052.680 1,026.350 908.490 -

Current Return -3.60% 14.52% 5.46%

AS51 Reference Assets Return 4,634.107 5.42% 4,967.350 7.89% 4,758.388 -0.39% -

HSBC Global Access Investment - Series 2 Maturity Growth Cap

14 December 2016 200%

As of 25 July 2013

S&P/ASX 200 Index (AS51) Hang Seng Index (HSI) Reference Assets Return Growth Observation Date 07-Mar-13 07-Jun-13 09-Sep-13 09-Dec-13 07-Mar-14 10-Jun-14 08-Sep-14 08-Dec-14 09-Mar-15 09-Jun-15 07-Sep-15 07-Dec-15 07-Mar-16 07-Jun-16 07-Sep-16 07-Dec-16

Initial Index Level Current Level 4,551.758 5,035.612 22,191.170 21,900.960

AS51 5,109.200 4,737.703 -

Current Return 10.63% -1.31% 4.66%

HSI Reference Assets Return 22,771.440 7.43% 21,575.260 0.65% -

HSBC Global Access Investment - Series 3 Maturity Growth Cap Income Cap

28 March 2018 130% 8%

As of 25 July 2013

Hang Seng China Ent. Index (HSCEI) KOSPI 200 Index (KOSPI2) Reference Assets Return Growth/Income Observation Date 21-Mar-14 23-Mar-15 21-Mar-16 21-Mar-17 21-Mar-18

Initial Index Level Current Level 10,944.350 9,752.600 255.820 247.710

HSCEI -

KOSPI2 -

Current Return -10.89% -3.17% -7.03% Reference Assets Return -

Important Disclaimer Issued by HSBC Bank Australia Limited, AFSL No 232595. Please note that any prices, values or levels contained herein are indicative only, are provided for reference purposes only and may vary in accordance with changes in market conditions. They should not be interpreted as an amount investors would receive on redemption, which would be affected by market changes and any applicable exit fees. Whilst due care has been taking in preparing the information above, HSBC makes no guarantee of its accuracy and completeness and is not responsible for errors of transmission of factual or analytical data and shall not be liable for any errors, omissions, defects or misrepresentations therein.