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: 15 Oct 2024 16:44 HKT |
CBBC Code
|
CBBC Name
|
Issuer Name
|
MCE Time
|
---|---|---|---|
49530 | JP#DJIA RP2412T | J.P. Morgan Structured Products B.V. | 14/10/2024 23:39 HKT |
49532 | UB#DJIA RP2503A | UBS AG | 14/10/2024 23:39 HKT |
49541 | SG#DJIA RP2603A | SG Issuer | 14/10/2024 23:39 HKT |
49754 | HS#DJIA RP2603B | The Hongkong and Shanghai Banking Corporation Limited | 14/10/2024 23:39 HKT |
49736 | MS#DJIA RP2603B | Morgan Stanley Asia Products Limited | 14/10/2024 22:26 HKT |
52416 | SG#LIAUTRC2506D | SG Issuer | 15:35:02 |
54969 | HS#SENTMRC2508A | The Hongkong and Shanghai Banking Corporation Limited | 15:24:21 |
55249 | MS#HSI RC2709S | Morgan Stanley Asia Products Limited | 15:22:34 |
52535 | UB#ALIBARC2507G | UBS AG | 15:22:29 |
55406 | JP#ALIBARC2607D | J.P. Morgan Structured Products B.V. | 15:22:29 |
54885 | GJ#HSI RC27096 | Guotai Junan Securities (Hong Kong) Limited | 15:22:14 |
55296 | CI#HSI RC2804I | CITIC Securities Brokerage (HK) Limited | 15:22:14 |
55347 | CT#HSI RC2707E | Citigroup Global Markets Europe AG | 15:22:14 |
55321 | SG#HSI RC2710Z | SG Issuer | 15:22:02 |
55005 | SG#WUXI RC2512A | SG Issuer | 15:17:45 |
51383 | BP#TENCTRC2502N | BNP Paribas Issuance B.V. | 15:17:14 |
51509 | JP#TENCTRC2507B | J.P. Morgan Structured Products B.V. | 15:17:14 |
55113 | JP#HSI RC2712D | J.P. Morgan Structured Products B.V. | 14:53:48 |
55491 | UB#HSI RC2712N | UBS AG | 14:49:20 |
52519 | UB#MTUANRC2508C | UBS AG | 14:39:21 |
53212 | SG#MTUANRC2508F | SG Issuer | 14:39:21 |
54974 | HS#MTUANRC2508A | The Hongkong and Shanghai Banking Corporation Limited | 14:39:21 |
55162 | BP#MTUANRC2506G | BNP Paribas Issuance B.V. | 14:39:21 |
54920 | MS#HSI RC2707C | Morgan Stanley Asia Products Limited | 14:37:38 |
55265 | BI#HSI RC27093 | BOCI Asia Limited | 14:37:24 |
55353 | CT#HSI RC2709X | Citigroup Global Markets Europe AG | 14:37:24 |
55366 | JP#HSI RC27086 | J.P. Morgan Structured Products B.V. | 14:37:24 |
55411 | HS#HSI RC27093 | The Hongkong and Shanghai Banking Corporation Limited | 14:37:24 |
55317 | SG#HSI RC2710Y | SG Issuer | 14:29:30 |
52664 | JP#BYD RC2508A | J.P. Morgan Structured Products B.V. | 14:22:33 |
55021 | SG#HSI RC2707O | SG Issuer | 14:22:20 |
54952 | HS#HSI RC27097 | The Hongkong and Shanghai Banking Corporation Limited | 14:21:16 |
55120 | JP#HSI RC27084 | J.P. Morgan Structured Products B.V. | 14:21:16 |
55199 | UB#HSI RC2712F | UBS AG | 14:21:16 |
55210 | UB#HSCEIRC2710A | UBS AG | 14:21:14 |
52410 | SG#BYD RC2507G | SG Issuer | 14:20:29 |
51742 | MS#TENCTRC2506C | Morgan Stanley Asia Products Limited | 14:18:33 |
55255 | MS#HSI RC2709T | Morgan Stanley Asia Products Limited | 14:18:12 |
55346 | CT#HSI RC2709Q | Citigroup Global Markets Europe AG | 14:17:48 |
55489 | UB#HSI RC2712M | UBS AG | 14:17:48 |
52401 | SG#HSTECRC2506E | SG Issuer | 14:17:36 |
53588 | JP#HSTECRC2503A | J.P. Morgan Structured Products B.V. | 14:17:36 |
54179 | CT#HSTECRC2506A | Citigroup Global Markets Europe AG | 14:17:36 |
55304 | SG#HSI RC2707W | SG Issuer | 14:16:30 |
52104 | JP#HKEX RC2704C | J.P. Morgan Structured Products B.V. | 14:11:55 |
54921 | MS#HSI RC2710D | Morgan Stanley Asia Products Limited | 14:11:48 |
55020 | SG#HSI RC2707N | SG Issuer | 14:11:48 |
54993 | CT#HSI RC2509J | Citigroup Global Markets Europe AG | 14:09:08 |
55275 | HU#HSI RC2707L | Huatai Financial Holdings (Hong Kong) Limited | 14:09:08 |
55369 | JP#HSI RC2711U | J.P. Morgan Structured Products B.V. | 14:09:08 |
55414 | HS#HSI RC27095 | The Hongkong and Shanghai Banking Corporation Limited | 14:09:08 |
52192 | MS#HKEX RC2704A | Morgan Stanley Asia Products Limited | 13:30:48 |
55118 | JP#HSI RC27082 | J.P. Morgan Structured Products B.V. | 13:30:26 |
55487 | UB#HSI RC27104 | UBS AG | 13:30:26 |
51381 | BP#TENCTRC2502M | BNP Paribas Issuance B.V. | 13:30:20 |
51483 | SG#TENCTRC2506H | SG Issuer | 13:30:20 |
51617 | UB#TENCTRC25067 | UBS AG | 13:30:20 |
51769 | HS#TENCTRC2506Q | The Hongkong and Shanghai Banking Corporation Limited | 13:30:20 |
52230 | BP#TENCTRC2502V | BNP Paribas Issuance B.V. | 13:30:20 |
55086 | JP#TENCTRC2506X | J.P. Morgan Structured Products B.V. | 13:30:20 |
55303 | SG#HSI RC2707V | SG Issuer | 13:30:06 |
55239 | MS#HSI RC2806P | Morgan Stanley Asia Products Limited | 13:30:02 |
55313 | SG#HKEX RC2604A | SG Issuer | 13:29:42 |
55495 | UB#HKEX RC2710F | UBS AG | 13:29:42 |
54959 | HS#HSI RC27091 | The Hongkong and Shanghai Banking Corporation Limited | 13:29:18 |
55267 | GJ#HSI RC27098 | Guotai Junan Securities (Hong Kong) Limited | 13:29:18 |
55295 | CI#HSI RC2804H | CITIC Securities Brokerage (HK) Limited | 13:29:18 |
55348 | CT#HSI RC2610F | Citigroup Global Markets Europe AG | 13:29:18 |
55019 | SG#HSI RC27097 | SG Issuer | 13:28:56 |
55198 | UB#HSI RC2712E | UBS AG | 13:28:30 |
55264 | BI#HSI RC27092 | BOCI Asia Limited | 13:26:08 |
55370 | JP#HSI RC27087 | J.P. Morgan Structured Products B.V. | 13:25:26 |
55416 | HS#HSI RC27096 | The Hongkong and Shanghai Banking Corporation Limited | 13:16:30 |
55486 | UB#HSI RC2711P | UBS AG | 13:16:30 |
55302 | SG#HSI RC27099 | SG Issuer | 13:15:56 |
55240 | MS#HSI RC2806Q | Morgan Stanley Asia Products Limited | 13:13:32 |
51443 | SG#NTES RC2510D | SG Issuer | 13:04:19 |
51596 | UB#NTES RC2510B | UBS AG | 13:04:19 |
55392 | JP#HKEX RC2710I | J.P. Morgan Structured Products B.V. | 11:09:32 |
52127 | JP#TENCTRC2507E | J.P. Morgan Structured Products B.V. | 11:09:28 |
54972 | HS#ALIBARC2506J | The Hongkong and Shanghai Banking Corporation Limited | 10:53:53 |
55315 | SG#ALIBARC2507M | SG Issuer | 10:53:53 |
55494 | UB#ALIBARC2508F | UBS AG | 10:53:53 |
51400 | BP#BAIDURC2502F | BNP Paribas Issuance B.V. | 10:48:40 |
55261 | MS#MTUANRC2509D | Morgan Stanley Asia Products Limited | 10:48:38 |
55345 | CT#HSI RC27099 | Citigroup Global Markets Europe AG | 10:47:44 |
55365 | JP#HSI RC27085 | J.P. Morgan Structured Products B.V. | 10:47:44 |
55301 | SG#HSI RC2707U | SG Issuer | 10:46:26 |
55485 | UB#HSI RC27103 | UBS AG | 10:43:16 |
55161 | BP#MTUANRC2506F | BNP Paribas Issuance B.V. | 10:42:28 |
55493 | UB#MTUANRC2506M | UBS AG | 10:42:28 |
55480 | UB#CCB RP2504A | UBS AG | 10:31:06 |
55294 | CI#HSI RC2804G | CITIC Securities Brokerage (HK) Limited | 10:18:56 |
55109 | JP#MTUANRC2509F | J.P. Morgan Structured Products B.V. | 10:13:51 |
55376 | JP#HSI RP2710K | J.P. Morgan Structured Products B.V. | 09:43:22 |
55242 | MS#HSI RC2806R | Morgan Stanley Asia Products Limited | 09:35:42 |
55300 | SG#HSI RC2707T | SG Issuer | 09:35:42 |
55364 | JP#HSI RC27099 | J.P. Morgan Structured Products B.V. | 09:35:42 |
55412 | HS#HSI RC27094 | The Hongkong and Shanghai Banking Corporation Limited | 09:35:42 |
55483 | UB#HSI RC27102 | UBS AG | 09:35:42 |
55328 | SG#TENCTRC2506K | SG Issuer | 09:30:07 |
55492 | UB#TENCTRC2507U | UBS AG | 09:30:07 |
55391 | JP#MTUANRC2509G | J.P. Morgan Structured Products B.V. | 09:30:01 |
55395 | JP#TENCTRC2508G | J.P. Morgan Structured Products B.V. | 09:30:01 |
55496 | UB#MTUANRC2506N | UBS AG | 09:30:01 |
55245 | MS#HSI RP25045 | Morgan Stanley Asia Products Limited | 09:20:38 |
55246 | MS#HSI RP25046 | Morgan Stanley Asia Products Limited | 09:20:38 |
55254 | MS#HSI RP25054 | Morgan Stanley Asia Products Limited | 09:20:38 |
55266 | BI#HSI RP26049 | BOCI Asia Limited | 09:20:38 |
55277 | HU#HSI RP2504F | Huatai Financial Holdings (Hong Kong) Limited | 09:20:38 |
55279 | BP#HSI RP25055 | BNP Paribas Issuance B.V. | 09:20:38 |
55280 | BP#HSI RP2708N | BNP Paribas Issuance B.V. | 09:20:38 |
55281 | BP#HSI RP2708O | BNP Paribas Issuance B.V. | 09:20:38 |
55282 | BP#HSI RP2708P | BNP Paribas Issuance B.V. | 09:20:38 |
55284 | BP#HSI RP2708Q | BNP Paribas Issuance B.V. | 09:20:38 |
55293 | BP#HSI RP2708V | BNP Paribas Issuance B.V. | 09:20:38 |
55297 | CI#HSI RP2504J | CITIC Securities Brokerage (HK) Limited | 09:20:38 |
55305 | SG#HSI RP2505R | SG Issuer | 09:20:38 |
55323 | SG#HSI RP2503G | SG Issuer | 09:20:38 |
55324 | SG#HSI RP2503R | SG Issuer | 09:20:38 |
55325 | SG#HSI RP2503X | SG Issuer | 09:20:38 |
55349 | CT#HSI RP2504E | Citigroup Global Markets Europe AG | 09:20:38 |
55351 | CT#HSI RP2504J | Citigroup Global Markets Europe AG | 09:20:38 |
55377 | JP#HSI RP2710L | J.P. Morgan Structured Products B.V. | 09:20:38 |
55379 | JP#HSI RP2704T | J.P. Morgan Structured Products B.V. | 09:20:38 |
55382 | JP#HSI RP27041 | J.P. Morgan Structured Products B.V. | 09:20:38 |
55417 | HS#HSI RP25037 | The Hongkong and Shanghai Banking Corporation Limited | 09:20:38 |
55423 | HS#HSI RP25038 | The Hongkong and Shanghai Banking Corporation Limited | 09:20:38 |
55424 | HS#HSI RP2503L | The Hongkong and Shanghai Banking Corporation Limited | 09:20:38 |
55441 | UB#HSI RP2711W | UBS AG | 09:20:38 |
55456 | UB#HSI RP2504C | UBS AG | 09:20:38 |
55457 | UB#HSI RP2704M | UBS AG | 09:20:38 |
55460 | UB#HSI RP2711Z | UBS AG | 09:20:38 |
55371 | JP#HKEX RC2710H | J.P. Morgan Structured Products B.V. | 09:20:11 |
55490 | UB#TENCTRC2507T | UBS AG | 09:20:11 |