LIST OF CBBC WITH MANDATORY CALL EVENT OCCURRED TODAY (MCE TIME)
The trading in the following CBBC have been suspended due to mandatory call event (MCE). The MCE time provided here is for reference only. Investors should refer to the announcement published by CBBC issuer on HKEXnews for official MCE time. Information will only be included in the list 30 to 60 minutes after the occurrence of MCE. | |
Update Date: 13 Sep 2024 16:44 HKT |
CBBC Code
|
CBBC Name
|
Issuer Name
|
MCE Time
|
---|---|---|---|
69469 | JP#HSI RP2705W | J.P. Morgan Structured Products B.V. | 10:17:16 |
69213 | GJ#HSI RP2504N | Guotai Junan Securities (Hong Kong) Limited | 10:13:26 |
69282 | BP#HSI RP25057 | BNP Paribas Issuance B.V. | 09:56:56 |
69294 | CI#HSI RP2504F | CITIC Securities Brokerage (HK) Limited | 09:56:56 |
69315 | SG#HSI RP2504Y | SG Issuer | 09:56:56 |
69343 | HS#HSI RP2702Y | The Hongkong and Shanghai Banking Corporation Limited | 09:56:56 |
69362 | UB#HSI RP2703Q | UBS AG | 09:56:56 |
69369 | JP#HSI RP2704X | J.P. Morgan Structured Products B.V. | 09:56:56 |
69383 | HU#HSI RP2704X | Huatai Financial Holdings (Hong Kong) Limited | 09:56:56 |
69400 | GJ#HSI RP2504W | Guotai Junan Securities (Hong Kong) Limited | 09:56:56 |
69461 | UB#HSI RP2509I | UBS AG | 09:56:56 |
69516 | BP#HSI RP25024 | BNP Paribas Issuance B.V. | 09:56:56 |
69525 | SG#HSI RP2503M | SG Issuer | 09:56:08 |
69538 | UB#HSI RP25033 | UBS AG | 09:56:08 |
69501 | HS#HSI RP25044 | The Hongkong and Shanghai Banking Corporation Limited | 09:55:46 |
69284 | BP#HSI RP25059 | BNP Paribas Issuance B.V. | 09:54:20 |
69323 | BP#HSI RP2505D | BNP Paribas Issuance B.V. | 09:53:38 |
69205 | HU#HSI RP27043 | Huatai Financial Holdings (Hong Kong) Limited | 09:53:36 |
69227 | HS#HSI RP2704C | The Hongkong and Shanghai Banking Corporation Limited | 09:53:30 |
69246 | SG#HSI RP2503B | SG Issuer | 09:53:30 |
69258 | CT#HSI RP2504L | Citigroup Global Markets Europe AG | 09:53:30 |
69275 | UB#HSI RP2704A | UBS AG | 09:53:30 |
69303 | JP#HSI RP2704S | J.P. Morgan Structured Products B.V. | 09:53:30 |
69330 | BP#HSI RP2505F | BNP Paribas Issuance B.V. | 09:50:36 |
69547 | JP#HSI RP2705G | J.P. Morgan Structured Products B.V. | 09:50:36 |
69313 | BI#HSI RP2609F | BOCI Asia Limited | 09:34:32 |
69325 | BP#HSI RP2505E | BNP Paribas Issuance B.V. | 09:34:32 |
69349 | CI#HSI RP2504I | CITIC Securities Brokerage (HK) Limited | 09:34:32 |
69393 | HS#HSI RP2704H | The Hongkong and Shanghai Banking Corporation Limited | 09:34:32 |
69419 | SG#HSI RP2503I | SG Issuer | 09:34:32 |
69459 | UB#HSI RP25043 | UBS AG | 09:34:32 |
69556 | BI#HSI RP2609G | BOCI Asia Limited | 09:34:32 |
59890 | MS#MTUANRP2612B | Morgan Stanley Asia Products Limited | 09:34:31 |
63488 | HS#MTUANRP2612A | The Hongkong and Shanghai Banking Corporation Limited | 09:34:31 |
69319 | SG#HSI RP2504J | SG Issuer | 09:32:28 |
69326 | BP#HSI RP2505C | BNP Paribas Issuance B.V. | 09:32:28 |
69331 | HU#HSI RP27042 | Huatai Financial Holdings (Hong Kong) Limited | 09:32:28 |
69338 | HS#HSI RP2703Y | The Hongkong and Shanghai Banking Corporation Limited | 09:32:24 |
69360 | UB#HSI RP2704U | UBS AG | 09:32:24 |
69373 | JP#HSI RP2705J | J.P. Morgan Structured Products B.V. | 09:32:24 |
59333 | UB#MTUANRP2612B | UBS AG | 09:31:21 |
69407 | BP#HSI RP2505K | BNP Paribas Issuance B.V. | 09:31:04 |
69472 | JP#HSI RP2703N | J.P. Morgan Structured Products B.V. | 09:31:04 |
69523 | SG#HSI RP2503K | SG Issuer | 09:30:34 |
59392 | MS#ALIBARP2610B | Morgan Stanley Asia Products Limited | 09:30:17 |
59490 | JP#ALIBARP2604D | J.P. Morgan Structured Products B.V. | 09:30:17 |
66041 | HS#ALIBARP2611E | The Hongkong and Shanghai Banking Corporation Limited | 09:30:17 |
69533 | UB#HSI RP25032 | UBS AG | 09:30:06 |
69482 | HU#HSI RP2704F | Huatai Financial Holdings (Hong Kong) Limited | 09:30:02 |
69493 | HS#HSI RP25042 | The Hongkong and Shanghai Banking Corporation Limited | 09:30:02 |
69548 | JP#HSI RP2705H | J.P. Morgan Structured Products B.V. | 09:30:02 |
69490 | HS#HSI RP25041 | The Hongkong and Shanghai Banking Corporation Limited | 09:20:34 |
69508 | CI#HSI RP2503L | CITIC Securities Brokerage (HK) Limited | 09:20:34 |
69513 | BP#HSI RP25021 | BNP Paribas Issuance B.V. | 09:20:34 |
69514 | BP#HSI RP25022 | BNP Paribas Issuance B.V. | 09:20:34 |
69520 | SG#HSI RP2504P | SG Issuer | 09:20:34 |
69532 | UB#HSI RP25044 | UBS AG | 09:20:34 |
69543 | JP#HSI RP27059 | J.P. Morgan Structured Products B.V. | 09:20:34 |