LONDON--()--
| ISIN | XS0620064047 | |
| Issuer Name | HSBC BANK MIDDLE EAST LTD | |
| Paying Agent | MTN | |
| Redemption Type | REPURCHASE | |
| Currency | USD | |
| O/S Balance | 16,400,000.00 | |
| New Balance | 16,150,000.00 | |
| Value Date | 15.11.12 |
LONDON--()--
| ISIN | XS0620064047 | |
| Issuer Name | HSBC BANK MIDDLE EAST LTD | |
| Paying Agent | MTN | |
| Redemption Type | REPURCHASE | |
| Currency | USD | |
| O/S Balance | 16,400,000.00 | |
| New Balance | 16,150,000.00 | |
| Value Date | 15.11.12 |
HSBC Security Services