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: 09 May 2025 16:44 HKT |
CBBC Code
|
CBBC Name
|
Issuer Name
|
MCE Time
|
---|---|---|---|
49574 | MS#NQ100RP2612J | Morgan Stanley Asia Products Limited | 08/05/2025 (US Date) |
49625 | JP#DJIA RP2712A | J.P. Morgan Structured Products B.V. | 08/05/2025 (US Date) |
49657 | HS#DJIA RP2712C | The Hongkong and Shanghai Banking Corporation Limited | 08/05/2025 (US Date) |
65066 | JP#GEELYRP2712A | J.P. Morgan Structured Products B.V. | 14:32:00 |
53235 | JP#TENCTRC2606I | J.P. Morgan Structured Products B.V. | 11:02:03 |
69942 | UB#TENCTRC2510L | UBS AG | 11:01:24 |
69613 | BI#HSI RP2712X | BOCI Asia Limited | 10:04:40 |
69544 | HS#HSI RP28032 | The Hongkong and Shanghai Banking Corporation Limited | 10:04:08 |
69730 | SG#HSI RP2804Y | SG Issuer | 10:03:52 |
69771 | HS#ALIBARC2601G | The Hongkong and Shanghai Banking Corporation Limited | 09:38:43 |
64749 | UB#SMIC RC2511E | UBS AG | 09:30:04 |
65278 | HS#SMIC RC2512H | The Hongkong and Shanghai Banking Corporation Limited | 09:30:04 |
53033 | JP#XIAMIRC2602B | J.P. Morgan Structured Products B.V. | 09:30:00 |
53120 | JP#ALIBARC2511Q | J.P. Morgan Structured Products B.V. | 09:30:00 |
53038 | JP#HSI RP2803M | J.P. Morgan Structured Products B.V. | 09:21:12 |
53039 | JP#HSI RP2803N | J.P. Morgan Structured Products B.V. | 09:21:12 |
53046 | JP#HSI RP2803O | J.P. Morgan Structured Products B.V. | 09:21:12 |
69510 | MS#HSI RP2712G | Morgan Stanley Asia Products Limited | 09:21:12 |
69513 | MS#HSI RP2803H | Morgan Stanley Asia Products Limited | 09:21:12 |
69529 | HS#HSI RP2803Z | The Hongkong and Shanghai Banking Corporation Limited | 09:21:12 |
69530 | HS#HSI RP2803E | The Hongkong and Shanghai Banking Corporation Limited | 09:21:12 |
69629 | CI#HSI RP2802G | CITIC Securities Brokerage (HK) Limited | 09:21:12 |
69634 | CI#HSI RP2711B | CITIC Securities Brokerage (HK) Limited | 09:21:12 |
69641 | CT#HSI RP27117 | Citigroup Global Markets Europe AG | 09:21:12 |
69647 | CT#HSI RP2705P | Citigroup Global Markets Europe AG | 09:21:12 |
69715 | SG#HSI RP28029 | SG Issuer | 09:21:12 |
69717 | SG#HSI RP2802K | SG Issuer | 09:21:12 |
69817 | BP#HSI RP2903L | BNP Paribas Issuance B.V. | 09:21:12 |
69820 | BP#HSI RP2903M | BNP Paribas Issuance B.V. | 09:21:12 |
69824 | BP#HSI RP2903N | BNP Paribas Issuance B.V. | 09:21:12 |
69845 | BP#HSI RP2903O | BNP Paribas Issuance B.V. | 09:21:12 |
69905 | UB#HSI RP2803Y | UBS AG | 09:21:12 |
69906 | UB#HSI RP2804Z | UBS AG | 09:21:12 |
69912 | UB#HSI RP2803Z | UBS AG | 09:21:12 |
65138 | UB#SMIC RC2511F | UBS AG | 09:20:49 |
65335 | SG#SMIC RC2511B | SG Issuer | 09:20:49 |
65544 | HS#SMIC RC2601D | The Hongkong and Shanghai Banking Corporation Limited | 09:20:49 |
65873 | BP#SMIC RC2511D | BNP Paribas Issuance B.V. | 09:20:49 |