LONDON--()--
Please note the following redemption, received on 30/11/2009:
| Issuer: | HSBC BANK PLC | |
| ISIN: | XS0461610171 | |
| Paying Agent: | MTN | |
| Redemption Type: | Full Call | |
| Call Price: | 100.05% | |
| Partial Call Price: | ||
| Currency: | HKD | |
| Outstanding Balance: | 22,500,000.00 | |
| Redemption Date: | 07/12/2009 |

