Issuer: HSBC Australia
Issuer rating: A1/A+
Issue rating: as issuer
Pricing date: 20 October 2017
Settlement date: 27 October 2017
Maturity date: 6 August 2019
Lead manager: HSBC
Volume: A$100 million (US$77.3 million)
Total outstanding in the line: A$100 million
Coupon type: FRN
Coupon rate: 3m BBSW +40bp
Issue/re-offer price: par
Margin to swap: 40bp/3m BBSW