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: 25 Apr 2024 14:46 HKT
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CBBC Code
CBBC Name
Issuer Name
MCE Time
49640 UB#NQ100RP2512HUBS AG25/04/2024 04:00 HKT
55424 MS#ALIBARP2606AMorgan Stanley Asia Products Limited10:52:11
52448 SG#HSI RP2604HSG Issuer10:51:42
55003 HS#HSI RP2608JThe Hongkong and Shanghai Banking Corporation Limited10:51:42
61673 UB#HSI RP2609LUBS AG10:51:42
50449 HS#HSI RP2608FThe Hongkong and Shanghai Banking Corporation Limited10:51:22
55047 JP#HSI RP2611PJ.P. Morgan Structured Products B.V.10:51:22
64629 SG#HSI RP2601XSG Issuer10:51:22
61068 BP#HSI RP2609SBNP Paribas Issuance B.V.10:51:06
61633 JP#HSI RP2602BJ.P. Morgan Structured Products B.V.10:51:06
52574 UB#HSI RP2509TUBS AG10:50:52
55129 SG#HSI RP2504RSG Issuer10:50:52
52649 JP#HSI RP2611UJ.P. Morgan Structured Products B.V.10:49:12
52264 SG#HSI RP2603RSG Issuer10:49:04
60953 BP#HSI RP2609KBNP Paribas Issuance B.V.10:48:20
61158 BP#HSI RP2608YBNP Paribas Issuance B.V.10:48:20
61223 BI#HSI RP2407NBOCI Asia Limited10:48:20
61305 JP#HSI RP2610YJ.P. Morgan Structured Products B.V.10:48:20
61384 SG#HSI RP2602ZSG Issuer10:48:20
61459 HS#HSI RP2604OThe Hongkong and Shanghai Banking Corporation Limited10:48:20
61543 UB#HSI RP2610PUBS AG10:48:20
61601 CT#HSI RP2611HCitigroup Global Markets Europe AG10:48:20
61873 GJ#HSI RP2604BGuotai Junan Securities (Hong Kong) Limited10:48:20
64134 HU#HSI RP2605FHuatai Financial Holdings (Hong Kong) Limited10:48:20
50094 UB#CMB RP2607AUBS AG10:44:37
54985 GJ#HSI RP2605MGuotai Junan Securities (Hong Kong) Limited10:32:12
60909 HS#HSI RP2610FThe Hongkong and Shanghai Banking Corporation Limited10:32:12
60957 BP#HSI RP2609OBNP Paribas Issuance B.V.10:32:12
60979 UB#HSI RP2610JUBS AG10:32:12
61010 JP#HSI RP2610NJ.P. Morgan Structured Products B.V.10:32:12
61039 SG#HSI RP2601ZSG Issuer10:32:12
52523 UB#HSI RP2610SUBS AG10:32:10
54539 SG#HSI RP2502ASG Issuer10:32:10
55396 BI#AIA RP2412CBOCI Asia Limited10:32:10
52328 MS#TENCTRP2404DMorgan Stanley Asia Products Limited10:31:26
53219 HS#HSI RP2611CThe Hongkong and Shanghai Banking Corporation Limited10:30:24
61625 SG#HSI RP2603SSG Issuer10:30:24
65072 UB#HSI RP2611RUBS AG10:30:24
65089 JP#HSI RP2608EJ.P. Morgan Structured Products B.V.10:30:24
55025 SG#HSI RP2602FSG Issuer10:30:12
61118 SG#HSI RP2603PSG Issuer10:30:12
61147 UB#HSI RP2610LUBS AG10:30:12
61175 HS#HSI RP2603AThe Hongkong and Shanghai Banking Corporation Limited10:30:12
61202 JP#HSI RP2606OJ.P. Morgan Structured Products B.V.10:30:12
61214 BP#HSI RP2605GBNP Paribas Issuance B.V.10:30:12
54320 UB#HSTECRP2512BUBS AG10:30:08
55447 SG#HSTECRP2612ASG Issuer10:30:08
51296 GJ#HSI RP2605TGuotai Junan Securities (Hong Kong) Limited10:30:04
61262 BP#HSI RP2605WBNP Paribas Issuance B.V.10:30:04
62003 UB#HSI RP2607WUBS AG10:30:04
64736 HS#HSI RP2603HThe Hongkong and Shanghai Banking Corporation Limited10:30:04
64818 JP#HSI RP2608CJ.P. Morgan Structured Products B.V.10:30:04
65003 HU#HSI RP2605HHuatai Financial Holdings (Hong Kong) Limited10:30:04
65038 SG#HSI RP2502SSG Issuer10:30:04
52485 JP#HSI RP2611MJ.P. Morgan Structured Products B.V.10:29:36
52608 SG#HSI RP2602TSG Issuer10:29:32
64915 UB#HSI RP2610UUBS AG10:29:32
53805 SG#KUASORP2512BSG Issuer10:29:10
54651 UB#HSI RP2610XUBS AG10:08:48
61759 SG#HSI RP2501XSG Issuer10:08:48
63475 HS#HSI RP2603RThe Hongkong and Shanghai Banking Corporation Limited10:08:48
52200 HU#HSI RP2611LHuatai Financial Holdings (Hong Kong) Limited10:08:38
52333 JP#HSI RP2611JJ.P. Morgan Structured Products B.V.10:08:38
52405 UB#HSI RP2608WUBS AG10:08:36
55102 HS#HSI RP2611EThe Hongkong and Shanghai Banking Corporation Limited10:08:36
63545 SG#HSI RP2503GSG Issuer10:08:36
55178 JP#HSI RP2607GJ.P. Morgan Structured Products B.V.10:08:08
52273 SG#HSI RP2504DSG Issuer10:08:00
55080 UB#HSI RP2609JUBS AG10:08:00
53181 BI#HSI RP2412GBOCI Asia Limited10:07:32
61231 GJ#HSI RP2604DGuotai Junan Securities (Hong Kong) Limited10:07:32
61255 BP#HSI RP2605NBNP Paribas Issuance B.V.10:07:32
61425 SG#HSI RP2502OSG Issuer10:07:32
61455 CT#HSI RP2611GCitigroup Global Markets Europe AG10:07:32
61542 UB#HSI RP2610OUBS AG10:07:32
61636 JP#HSI RP2602DJ.P. Morgan Structured Products B.V.10:07:32
61825 HS#HSI RP2607PThe Hongkong and Shanghai Banking Corporation Limited10:07:32
63510 HU#HSI RP2609BHuatai Financial Holdings (Hong Kong) Limited10:07:32
66180 CT#JDCOMRP2412ACitigroup Global Markets Europe AG10:06:44
55167 UB#HSI RP2611UUBS AG10:05:02
54319 UB#JDCOMRP2501CUBS AG10:04:39
50526 GJ#HSI RP2605KGuotai Junan Securities (Hong Kong) Limited10:04:10
61569 HS#HSI RP2606QThe Hongkong and Shanghai Banking Corporation Limited10:04:10
64079 UB#HSI RP2603BUBS AG10:04:10
64880 SG#HSI RP2501KSG Issuer10:04:10
55395 BI#SMIC RP2412LBOCI Asia Limited10:04:07
53298 JP#HSI RP2607IJ.P. Morgan Structured Products B.V.10:04:06
52447 SG#HSI RP2602RSG Issuer10:04:04
55004 HS#HSI RP2608BThe Hongkong and Shanghai Banking Corporation Limited10:04:04
63571 JP#HSI RP2611RJ.P. Morgan Structured Products B.V.10:03:50
52560 UB#HSI RP2608AUBS AG10:01:54
64165 SG#HSI RP2504LSG Issuer10:01:54
64989 HS#HSI RP2610WThe Hongkong and Shanghai Banking Corporation Limited10:01:54
55052 JP#HSI RP2604JJ.P. Morgan Structured Products B.V.10:01:44
53270 SG#HSI RP2601ASG Issuer10:01:36
51150 GJ#HSI RP2605DGuotai Junan Securities (Hong Kong) Limited10:01:28
52534 HS#HSI RP2608MThe Hongkong and Shanghai Banking Corporation Limited10:01:28
61322 JP#HSI RP2602JJ.P. Morgan Structured Products B.V.10:01:28
61615 SG#HSI RP2502XSG Issuer10:01:28
61656 UB#HSI RP2609KUBS AG10:01:28
61726 BP#HSI RP2607PBNP Paribas Issuance B.V.10:01:28
61870 HS#HSI RP2610JThe Hongkong and Shanghai Banking Corporation Limited10:01:28
66214 CT#HSI RP2504NCitigroup Global Markets Europe AG10:01:28
52646 JP#HSI RP2611SJ.P. Morgan Structured Products B.V.10:01:26
54523 SG#HSI RP2504JSG Issuer10:01:26
55110 GJ#HSI RP2605OGuotai Junan Securities (Hong Kong) Limited10:01:26
64701 UB#HSI RP2607RUBS AG10:01:26
65228 JP#HSI RP2611QJ.P. Morgan Structured Products B.V.10:01:02
62355 HS#HSI RP2603KThe Hongkong and Shanghai Banking Corporation Limited10:00:54
63775 SG#HSI RP2601QSG Issuer10:00:54
65093 JP#HSI RP2611NJ.P. Morgan Structured Products B.V.09:57:44
54216 JP#HKEX RP2602CJ.P. Morgan Structured Products B.V.09:55:50
50432 SG#HSI RP2504TSG Issuer09:55:04
52918 HS#HSI RP2608RThe Hongkong and Shanghai Banking Corporation Limited09:55:04
65046 UB#HSI RP2611OUBS AG09:55:04
54446 UB#HKEX RP2604AUBS AG09:51:21
54661 MS#HKEX RP2606AMorgan Stanley Asia Products Limited09:50:08
54677 SG#HKEX RP2612ASG Issuer09:50:08
54576 BP#HKEX RP2411SBNP Paribas Issuance B.V.09:30:23
54811 CT#HKEX RP2412ACitigroup Global Markets Europe AG09:30:23
55565 HS#HKEX RP2602BThe Hongkong and Shanghai Banking Corporation Limited09:30:23
55260 UB#AIA RP2604AUBS AG09:30:17
55801 BP#HSI RP2703HBNP Paribas Issuance B.V.09:20:32
55802 BP#HSI RP2703IBNP Paribas Issuance B.V.09:20:32
55803 BP#HSI RP2703JBNP Paribas Issuance B.V.09:20:32
55804 BP#HSI RP2703KBNP Paribas Issuance B.V.09:20:32
55805 BP#HSI RP2703LBNP Paribas Issuance B.V.09:20:32
55808 BP#HSI RP2703MBNP Paribas Issuance B.V.09:20:32
55809 HS#HSI RP2608DThe Hongkong and Shanghai Banking Corporation Limited09:20:32
55810 HS#HSI RP2608HThe Hongkong and Shanghai Banking Corporation Limited09:20:32
55811 HS#HSI RP2608LThe Hongkong and Shanghai Banking Corporation Limited09:20:32
55815 HU#HSI RP2604BHuatai Financial Holdings (Hong Kong) Limited09:20:32
55820 GJ#HSI RP2605BGuotai Junan Securities (Hong Kong) Limited09:20:32
55821 GJ#HSI RP2605IGuotai Junan Securities (Hong Kong) Limited09:20:32
55822 SG#HSI RP2602BSG Issuer09:20:32
55823 SG#HSI RP2503XSG Issuer09:20:32
55824 SG#HSI RP2504PSG Issuer09:20:32
55825 SG#HSI RP2504QSG Issuer09:20:32
55826 SG#HSI RP2503BSG Issuer09:20:32
55827 SG#HSI RP2502BSG Issuer09:20:32
55836 SG#HSI RP2502TSG Issuer09:20:32
55843 BP#HSI RP2703NBNP Paribas Issuance B.V.09:20:32
55848 JP#HSI RP2611GJ.P. Morgan Structured Products B.V.09:20:32
55849 JP#HSI RP2604YJ.P. Morgan Structured Products B.V.09:20:32
55850 JP#HSI RP2611ZJ.P. Morgan Structured Products B.V.09:20:32
55858 JP#HSI RP2604KJ.P. Morgan Structured Products B.V.09:20:32
55860 JP#HSI RP2604ZJ.P. Morgan Structured Products B.V.09:20:32
55861 JP#HSI RP2605CJ.P. Morgan Structured Products B.V.09:20:32
55868 UB#HSI RP2611VUBS AG09:20:32
55869 UB#HSI RP2509CUBS AG09:20:32
55872 UB#HSI RP2611ZUBS AG09:20:32
55873 UB#HSI RP2610NUBS AG09:20:32
55874 UB#HSI RP2610TUBS AG09:20:32
55889 UB#HSI RP2608ZUBS AG09:20:32
55892 CT#HSI RP2604PCitigroup Global Markets Europe AG09:20:32
55893 CT#HSI RP2504XCitigroup Global Markets Europe AG09:20:32
55851 JP#TENCTRP2603GJ.P. Morgan Structured Products B.V.09:20:07
55866 UB#TENCTRP2612BUBS AG09:20:07