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: 05 Jun 2025 16:44 HKT
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CBBC Code
CBBC Name
Issuer Name
MCE Time
49514 SG#NQ100RP2812DSG Issuer04/06/2025 (US Date)
49709 JP#NQ100RP2812BJ.P. Morgan Structured Products B.V.04/06/2025 (US Date)
59901 JP#BYD RP2805AJ.P. Morgan Structured Products B.V.15:55:21
55391 JP#MTUANRP2804CJ.P. Morgan Structured Products B.V.10:05:50
56834 CT#HSI RP2805DCitigroup Global Markets Europe AG09:53:32
56846 JP#HSI RP2804XJ.P. Morgan Structured Products B.V.09:53:32
57019 CI#HSI RP2711GCITIC Securities Brokerage (HK) Limited09:53:32
57029 BP#HSI RP2903MBNP Paribas Issuance B.V.09:53:32
57058 HS#HSI RP2803OThe Hongkong and Shanghai Banking Corporation Limited09:53:32
57127 GJ#HSI RP2711GGuotai Junan Securities (Hong Kong) Limited09:53:32
57193 SG#HSI RP2804NSG Issuer09:53:32
57514 UB#HSI RP28042UBS AG09:53:32
55199 SG#MTUANRP2812USG Issuer09:47:10
62276 SG#HKEX RP2812ESG Issuer09:43:33
56600 JP#HSI RP2804SJ.P. Morgan Structured Products B.V.09:33:24
57332 BI#HSI RP2712XBOCI Asia Limited09:33:24
58011 HS#HSI RP2803QThe Hongkong and Shanghai Banking Corporation Limited09:33:24
58286 JP#HSI RP2804RJ.P. Morgan Structured Products B.V.09:33:24
58444 SG#HSI RP28036SG Issuer09:33:24
56676 SG#HSI RP2802LSG Issuer09:33:22
57753 UB#HSI RP2804GUBS AG09:32:30
56070 UB#MTUANRP2804CUBS AG09:31:05
56123 CT#MTUANRP2712HCitigroup Global Markets Europe AG09:31:05
56350 UB#HSI RP2804UUBS AG09:30:44
56399 MS#HSI RP2804IMorgan Stanley Asia Products Limited09:30:22
56662 GJ#HSI RP27117Guotai Junan Securities (Hong Kong) Limited09:30:22
56790 HS#HSI RP2804TThe Hongkong and Shanghai Banking Corporation Limited09:30:22
57021 BP#HSI RP2903LBNP Paribas Issuance B.V.09:30:22
57101 JP#HSI RP28044J.P. Morgan Structured Products B.V.09:30:22
58202 UB#HSI RP28027UBS AG09:30:22
56479 SG#HSI RP2804LSG Issuer09:30:20
56739 UB#HSI RP28046UBS AG09:30:20
66506 HS#CLIFERP2603BThe Hongkong and Shanghai Banking Corporation Limited09:30:20
58725 SG#ALIBARP2810SSG Issuer09:30:00
59905 JP#ALIBARP2805AJ.P. Morgan Structured Products B.V.09:30:00
56274 SG#HSI RP2803WSG Issuer09:21:04
56459 UB#HSI RP2804ZUBS AG09:21:04
56525 CT#HSI RP2803GCitigroup Global Markets Europe AG09:21:04
56675 SG#HSI RP28042SG Issuer09:21:04
56701 CI#HSI RP2712PCITIC Securities Brokerage (HK) Limited09:21:04
56710 BP#HSI RP2903KBNP Paribas Issuance B.V.09:21:04
56842 JP#HSI RP2804WJ.P. Morgan Structured Products B.V.09:21:04
56923 SG#HSI RP2802QSG Issuer09:21:04
56969 UB#HSI RP28048UBS AG09:21:04
56982 CT#HSI RP2804GCitigroup Global Markets Europe AG09:21:04
57063 HS#HSI RP28035The Hongkong and Shanghai Banking Corporation Limited09:21:04
57136 CI#HSI RP2711RCITIC Securities Brokerage (HK) Limited09:21:04
57153 UB#HSI RP2804BUBS AG09:21:04
57192 SG#HSI RP28021SG Issuer09:21:04
57214 HS#HSI RP2804ZThe Hongkong and Shanghai Banking Corporation Limited09:21:04
57251 BP#HSI RP2903PBNP Paribas Issuance B.V.09:21:04
57303 JP#HSI RP28048J.P. Morgan Structured Products B.V.09:21:04
57375 HS#HSI RP28044The Hongkong and Shanghai Banking Corporation Limited09:21:04
57509 UB#HSI RP2804CUBS AG09:21:04
57571 JP#HSI RP2804EJ.P. Morgan Structured Products B.V.09:21:04
57596 GJ#HSI RP2711YGuotai Junan Securities (Hong Kong) Limited09:21:04
57631 HS#HSI RP2803DThe Hongkong and Shanghai Banking Corporation Limited09:21:04
57682 SG#HSI RP28033SG Issuer09:21:04
57746 UB#HSI RP2803XUBS AG09:21:04
57814 JP#HSI RP2804HJ.P. Morgan Structured Products B.V.09:21:04
57901 UB#HSI RP2804JUBS AG09:21:04
57967 JP#HSI RP2804LJ.P. Morgan Structured Products B.V.09:21:04
58091 MS#HSI RP28031Morgan Stanley Asia Products Limited09:21:04
58117 BI#HSI RP2712IBOCI Asia Limited09:21:04
58570 JP#HSI RP28042J.P. Morgan Structured Products B.V.09:21:04
58916 UB#HSI RP2802VUBS AG09:21:04
59180 HS#HSI RP2803YThe Hongkong and Shanghai Banking Corporation Limited09:21:04
59279 MS#HSI RP28033Morgan Stanley Asia Products Limited09:21:04
59283 MS#HSI RP2804NMorgan Stanley Asia Products Limited09:21:04
59284 MS#HSI RP28034Morgan Stanley Asia Products Limited09:21:04
59285 MS#HSI RP2804OMorgan Stanley Asia Products Limited09:21:04
59305 BI#HSI RP2712UBOCI Asia Limited09:21:04
59314 CI#HSI RP2712CCITIC Securities Brokerage (HK) Limited09:21:04
59316 CI#HSI RP27123CITIC Securities Brokerage (HK) Limited09:21:04
59348 UB#HSI RP2804NUBS AG09:21:04
59352 UB#HSI RP2804OUBS AG09:21:04
59353 UB#HSI RP28036UBS AG09:21:04
59368 UB#HSI RP2708HUBS AG09:21:04
59370 UB#HSI RP28037UBS AG09:21:04
59378 UB#HSTECRP2712WUBS AG09:21:04
59391 UB#HSI RP2803IUBS AG09:21:04
59392 UB#HSI RP2804PUBS AG09:21:04
59393 UB#HSI RP2804RUBS AG09:21:04
59412 HS#HSI RP28048The Hongkong and Shanghai Banking Corporation Limited09:21:04
59420 HS#HSI RP28049The Hongkong and Shanghai Banking Corporation Limited09:21:04
59423 HS#HSI RP2804AThe Hongkong and Shanghai Banking Corporation Limited09:21:04
59424 HS#HSI RP2804BThe Hongkong and Shanghai Banking Corporation Limited09:21:04
59427 HS#HSI RP2804CThe Hongkong and Shanghai Banking Corporation Limited09:21:04
59495 BP#HSI RP2903CBNP Paribas Issuance B.V.09:21:04
59503 BP#HSI RP2903DBNP Paribas Issuance B.V.09:21:04
59505 BP#HSI RP2903EBNP Paribas Issuance B.V.09:21:04
59512 BP#HSI RP2903FBNP Paribas Issuance B.V.09:21:04
59550 BP#HSI RP2903GBNP Paribas Issuance B.V.09:21:04
59581 BP#HSI RP2903HBNP Paribas Issuance B.V.09:21:04
59609 BP#HSI RP2903IBNP Paribas Issuance B.V.09:21:04
59801 JP#HSI RP28035J.P. Morgan Structured Products B.V.09:21:04
59803 JP#HSI RP2803DJ.P. Morgan Structured Products B.V.09:21:04
59837 JP#HSI RP2803FJ.P. Morgan Structured Products B.V.09:21:04
59851 JP#HSI RP2803LJ.P. Morgan Structured Products B.V.09:21:04
59871 JP#HSI RP2803BJ.P. Morgan Structured Products B.V.09:21:04
59876 JP#HSI RP2803IJ.P. Morgan Structured Products B.V.09:21:04
59877 JP#HSI RP2803PJ.P. Morgan Structured Products B.V.09:21:04
59942 SG#HSI RP2804QSG Issuer09:21:04
59986 SG#HSI RP2804JSG Issuer09:21:04
59994 SG#HSI RP2804RSG Issuer09:21:04
59996 SG#HSI RP28029SG Issuer09:21:04
59999 SG#HSI RP2804SSG Issuer09:21:04
60015 SG#HSI RP2804YSG Issuer09:21:04
60018 GJ#HSI RP2711MGuotai Junan Securities (Hong Kong) Limited09:21:04
60019 GJ#HSI RP2711SGuotai Junan Securities (Hong Kong) Limited09:21:04
60035 CT#HSI RP2802GCitigroup Global Markets Europe AG09:21:04
60037 CT#HSI RP2802HCitigroup Global Markets Europe AG09:21:04
60040 CT#HSI RP2804NCitigroup Global Markets Europe AG09:21:04
53752 MS#HKEX RP2707AMorgan Stanley Asia Products Limited09:20:34
58699 SG#TENCTRP28122SG Issuer09:20:34
59372 UB#BYD RP2802RUBS AG09:20:34
60004 SG#BYD RP2812YSG Issuer09:20:34