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: 23 Mar 2023 16:44 HKT |
CBBC Code
|
CBBC Name
|
Issuer Name
|
MCE Time
|
---|---|---|---|
49636 | JP#NQ100RP2403A | J.P. Morgan Structured Products B.V. | 23/03/2023 02:06 HKT |
49648 | BP#NQ100RP2409B | BNP Paribas Issuance B.V. | 22/03/2023 22:29 HKT |
55868 | JP#HSI RP2411J | J.P. Morgan Structured Products B.V. | 15:49:50 |
56141 | BP#HSI RP2503Z | BNP Paribas Issuance B.V. | 15:49:50 |
56383 | BP#HSI RP2503G | BNP Paribas Issuance B.V. | 15:49:50 |
56030 | SG#HSI RP2403I | SG Issuer | 15:49:40 |
55774 | BP#BAIDURP2411A | BNP Paribas Issuance B.V. | 15:29:16 |
57145 | SG#BAIDURP2404E | SG Issuer | 15:29:16 |
55724 | HS#MTUANRP2401A | The Hongkong and Shanghai Banking Corporation Limited | 15:27:57 |
55714 | BI#HSI RP2309N | BOCI Asia Limited | 15:27:20 |
55721 | HS#HSI RP2502R | The Hongkong and Shanghai Banking Corporation Limited | 15:27:20 |
55733 | CS#HSI RP2504Q | Credit Suisse AG | 15:27:20 |
55824 | SG#HSI RP2501C | SG Issuer | 15:27:20 |
55862 | JP#HSI RP2501A | J.P. Morgan Structured Products B.V. | 15:27:20 |
55916 | UB#HSI RP2504W | UBS AG | 15:27:20 |
57328 | SG#MTUANRP2402H | SG Issuer | 15:27:16 |
56930 | UB#MTUANRP2402I | UBS AG | 15:26:54 |
56682 | SG#HSI RP2403M | SG Issuer | 15:26:34 |
56061 | JP#HSI RP2504W | J.P. Morgan Structured Products B.V. | 15:26:06 |
56075 | BP#HSI RP2601B | BNP Paribas Issuance B.V. | 15:26:06 |
56106 | GJ#HSI RP2503C | Guotai Junan Securities (Hong Kong) Limited | 15:26:06 |
56148 | BP#HSI RP2503D | BNP Paribas Issuance B.V. | 15:26:06 |
56228 | UB#HSI RP2412I | UBS AG | 15:26:06 |
56272 | SG#HSI RP2402X | SG Issuer | 15:26:06 |
56281 | CT#HSI RP2411I | Citigroup Global Markets Europe AG | 15:26:06 |
56336 | JP#HSI RP2411P | J.P. Morgan Structured Products B.V. | 15:26:06 |
56366 | CS#HSI RP2503Q | Credit Suisse AG | 15:26:06 |
56525 | UB#HSI RP2504T | UBS AG | 15:26:06 |
57390 | CT#HSI RP2412E | Citigroup Global Markets Europe AG | 15:26:06 |
54702 | UB#XPENGRP2401C | UBS AG | 15:23:51 |
56789 | SG#HSI RP2401D | SG Issuer | 15:23:46 |
56867 | UB#HSI RP2402O | UBS AG | 15:22:46 |
56173 | HS#ALIBARP2312N | The Hongkong and Shanghai Banking Corporation Limited | 15:12:48 |
57131 | SG#HSI RP2402S | SG Issuer | 15:05:32 |
57187 | UB#HSI RP2403D | UBS AG | 15:05:32 |
56071 | GS#MTUANRP2405A | Goldman Sachs Structured Products (Asia) Ltd | 14:58:54 |
56425 | JP#MTUANRP2312I | J.P. Morgan Structured Products B.V. | 14:58:54 |
56082 | BP#HSI RP2601U | BNP Paribas Issuance B.V. | 14:54:50 |
56092 | BP#HSI RP2601V | BNP Paribas Issuance B.V. | 14:54:50 |
56222 | UB#HSI RP2412D | UBS AG | 14:54:50 |
56382 | BP#HSI RP2503F | BNP Paribas Issuance B.V. | 14:54:50 |
56488 | SG#HSI RP2501Y | SG Issuer | 14:54:30 |
55811 | SG#MTUANRP2402F | SG Issuer | 14:41:24 |
56103 | BI#MTUANRP2402B | BOCI Asia Limited | 14:41:24 |
56587 | MS#MTUANRP2403B | Morgan Stanley Asia Products Limited | 14:41:24 |
53553 | UB#TENCTRP2402K | UBS AG | 14:07:01 |
53590 | JP#TENCTRP2312G | J.P. Morgan Structured Products B.V. | 14:07:01 |
53632 | SG#TENCTRP2402L | SG Issuer | 14:07:01 |
55940 | CS#HSI RP2504H | Credit Suisse AG | 14:06:40 |
55965 | UB#HSI RP2504G | UBS AG | 14:06:40 |
55986 | HS#HSI RP2502X | The Hongkong and Shanghai Banking Corporation Limited | 14:06:40 |
56028 | SG#HSI RP2412A | SG Issuer | 14:06:40 |
56065 | JP#HSI RP2503J | J.P. Morgan Structured Products B.V. | 14:06:40 |
56189 | UB#MTUANRP2403B | UBS AG | 14:05:10 |
55267 | JP#TENCTRP2310O | J.P. Morgan Structured Products B.V. | 13:47:06 |
56343 | BP#HKEX RP2311Y | BNP Paribas Issuance B.V. | 13:42:19 |
56125 | BP#HSI RP2602X | BNP Paribas Issuance B.V. | 13:38:46 |
56395 | JP#HSI RP2412S | J.P. Morgan Structured Products B.V. | 13:38:46 |
56738 | UB#HSI RP2412S | UBS AG | 13:38:46 |
57044 | GJ#HSI RP2503E | Guotai Junan Securities (Hong Kong) Limited | 13:38:46 |
56781 | SG#HSI RP2403Z | SG Issuer | 13:35:16 |
55814 | SG#ALIBARP2403G | SG Issuer | 13:32:30 |
56118 | CS#HSI RP2503F | Credit Suisse AG | 13:28:08 |
56500 | UB#HSI RP2412N | UBS AG | 13:28:08 |
56598 | BP#HSI RP2504O | BNP Paribas Issuance B.V. | 13:28:08 |
57076 | HS#HSI RP2404U | The Hongkong and Shanghai Banking Corporation Limited | 13:28:08 |
56271 | SG#HSI RP2402W | SG Issuer | 13:28:06 |
56322 | JP#HKEX RP2309B | J.P. Morgan Structured Products B.V. | 13:28:00 |
55156 | UB#TENCTRP2402S | UBS AG | 13:20:43 |
55172 | GS#TENCTRP2404M | Goldman Sachs Structured Products (Asia) Ltd | 13:20:43 |
55537 | BP#TENCTRP2312I | BNP Paribas Issuance B.V. | 13:20:43 |
55600 | SG#TENCTRP2404R | SG Issuer | 13:20:43 |
55716 | BI#TENCTRP2309S | BOCI Asia Limited | 13:20:43 |
56399 | JP#TENCTRP2311L | J.P. Morgan Structured Products B.V. | 13:20:43 |
55877 | JP#MTUANRP2404B | J.P. Morgan Structured Products B.V. | 13:20:38 |
56315 | JP#ALIBARP2310E | J.P. Morgan Structured Products B.V. | 13:20:32 |
57130 | SG#HSI RP2401H | SG Issuer | 13:20:32 |
56683 | GS#ALIBARP2404D | Goldman Sachs Structured Products (Asia) Ltd | 13:20:15 |
56725 | UB#HSTECRP2412B | UBS AG | 13:14:52 |
56105 | GJ#HSI RP2503Z | Guotai Junan Securities (Hong Kong) Limited | 13:14:28 |
56124 | BP#HSI RP2602W | BNP Paribas Issuance B.V. | 13:14:28 |
56221 | UB#HSI RP2412C | UBS AG | 13:14:28 |
56305 | JP#HSI RP2411N | J.P. Morgan Structured Products B.V. | 13:14:28 |
56358 | HS#HSI RP2502G | The Hongkong and Shanghai Banking Corporation Limited | 13:14:28 |
56363 | CS#HSI RP2503P | Credit Suisse AG | 13:14:28 |
56450 | SG#HSI RP2412G | SG Issuer | 13:14:28 |
57408 | BI#HSI RP2309H | BOCI Asia Limited | 13:14:28 |
57186 | UB#HSI RP2403C | UBS AG | 13:12:02 |
55475 | JP#TENCTRP2309T | J.P. Morgan Structured Products B.V. | 13:03:53 |
55702 | MS#TENCTRP2403E | Morgan Stanley Asia Products Limited | 13:03:53 |
56036 | SG#MTUANRP2403I | SG Issuer | 10:49:00 |
56428 | JP#MTUANRP2312J | J.P. Morgan Structured Products B.V. | 10:49:00 |
57300 | SG#HSI RP2401K | SG Issuer | 10:33:42 |
55726 | HS#TENCTRP2401A | The Hongkong and Shanghai Banking Corporation Limited | 10:30:30 |
55299 | SG#TENCTRP2403U | SG Issuer | 09:47:49 |
55437 | UB#TENCTRP2401Q | UBS AG | 09:47:49 |
57383 | GJ#HSI RP2503F | Guotai Junan Securities (Hong Kong) Limited | 09:47:24 |
55878 | JP#TENCTRP2312I | J.P. Morgan Structured Products B.V. | 09:47:04 |
57464 | UB#BYD RP2404C | UBS AG | 09:45:40 |
57091 | SG#WUXI RC2311C | SG Issuer | 09:44:17 |
55717 | BI#TENCTRP2309T | BOCI Asia Limited | 09:40:08 |
55772 | BP#TENCTRP2311W | BNP Paribas Issuance B.V. | 09:40:08 |
55889 | GS#TENCTRP2404N | Goldman Sachs Structured Products (Asia) Ltd | 09:40:08 |
55599 | SG#TENCTRP2402N | SG Issuer | 09:39:50 |
55617 | UB#TENCTRP2402T | UBS AG | 09:39:50 |
55667 | JP#TENCTRP2311I | J.P. Morgan Structured Products B.V. | 09:39:50 |
57247 | MS#TENCTRP2402D | Morgan Stanley Asia Products Limited | 09:31:33 |
56400 | JP#TENCTRP2312L | J.P. Morgan Structured Products B.V. | 09:31:17 |
55982 | HS#TENCTRP2312M | The Hongkong and Shanghai Banking Corporation Limited | 09:30:51 |
55993 | SG#TENCTRP2401G | SG Issuer | 09:30:51 |
56058 | JP#TENCTRP2309U | J.P. Morgan Structured Products B.V. | 09:30:51 |
56714 | UB#TENCTRP2402W | UBS AG | 09:30:51 |
57233 | BP#HSI RP2512T | BNP Paribas Issuance B.V. | 09:20:38 |
57293 | SG#HSI RP2401I | SG Issuer | 09:20:38 |
57294 | SG#HSI RP2402P | SG Issuer | 09:20:38 |
57295 | SG#HSI RP2402Q | SG Issuer | 09:20:38 |
57299 | SG#HSI RP2401J | SG Issuer | 09:20:38 |
57332 | SG#HSI RP2402N | SG Issuer | 09:20:38 |
57348 | HS#HSI RP2404C | The Hongkong and Shanghai Banking Corporation Limited | 09:20:38 |
57351 | HS#HSI RP2404E | The Hongkong and Shanghai Banking Corporation Limited | 09:20:38 |
57354 | HS#HSI RP2404Z | The Hongkong and Shanghai Banking Corporation Limited | 09:20:38 |
57358 | BP#HSI RP2504F | BNP Paribas Issuance B.V. | 09:20:38 |
57359 | BP#HSI RP2504E | BNP Paribas Issuance B.V. | 09:20:38 |
57360 | BP#HSI RP2504G | BNP Paribas Issuance B.V. | 09:20:38 |
57362 | BP#HSI RP2504I | BNP Paribas Issuance B.V. | 09:20:38 |
57363 | BP#HSI RP2504Q | BNP Paribas Issuance B.V. | 09:20:38 |
57370 | BP#HSI RP2504S | BNP Paribas Issuance B.V. | 09:20:38 |
57373 | BP#HSI RP2504V | BNP Paribas Issuance B.V. | 09:20:38 |
57376 | BP#HSI RP2504Y | BNP Paribas Issuance B.V. | 09:20:38 |
57385 | GJ#HSI RP2503G | Guotai Junan Securities (Hong Kong) Limited | 09:20:38 |
57388 | GJ#HSI RP2503H | Guotai Junan Securities (Hong Kong) Limited | 09:20:38 |
57394 | CT#HSI RP2411M | Citigroup Global Markets Europe AG | 09:20:38 |
57409 | BI#HSI RP2309G | BOCI Asia Limited | 09:20:38 |
57411 | BI#HSI RP2309A | BOCI Asia Limited | 09:20:38 |
57458 | UB#HSI RP2402V | UBS AG | 09:20:38 |
57459 | UB#HSI RP2403E | UBS AG | 09:20:38 |
57460 | UB#HSI RP2403F | UBS AG | 09:20:38 |
57465 | UB#HSI RP2403G | UBS AG | 09:20:38 |
57466 | UB#HSI RP2403H | UBS AG | 09:20:38 |
57256 | SG#C MOBRC2310O | SG Issuer | 09:20:10 |
57305 | SG#TENCTRP2402R | SG Issuer | 09:20:10 |
57339 | SG#ALIBARP2403H | SG Issuer | 09:20:10 |
57344 | HS#ALIBARP2312O | The Hongkong and Shanghai Banking Corporation Limited | 09:20:10 |
57436 | UB#TENCTRP2404A | UBS AG | 09:20:10 |
57453 | UB#MTUANRP2412A | UBS AG | 09:20:10 |
57463 | UB#HSBC RP2402E | UBS AG | 09:20:10 |