Please note the following redemption, received on 12/01/2009:
              Issuer:     HSBC Bank Plc
                ISIN:     XS0241098010
        Paying Agent:     MTN
     Redemption Type:     Full Call
          Call Price:     122.5043%
  Partial Call Price:                  
            Currency:     USD
 Outstanding Balance:     20,000,000.00
     Redemption Date:     26/01/2009
    
    


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