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: 11 Aug 2026 16:44 HKT
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CBBC Code
CBBC Name
Issuer Name
MCE Time
55158 JP#BAIDURC2702KJ.P. Morgan Structured Products B.V.14:36:35
55512 DS#HSI RC2809UDBS Bank Ltd14:34:36
56014 BP#HSI RC2807RBNP Paribas Issuance B.V.14:34:36
56347 MS#HSI RC2812HMorgan Stanley Asia Products Limited14:34:36
56321 CI#HSI RC2808ZCITIC Securities Brokerage (HK) Limited14:31:04
56030 BP#HKEX RC2803ZBNP Paribas Issuance B.V.14:30:03
56097 CT#HSI RC2810KCitigroup Global Markets Europe AG14:21:10
56176 DS#HSI RC2809KDBS Bank Ltd14:21:10
56219 HS#HSI RC2812YThe Hongkong and Shanghai Banking Corporation Limited14:21:10
56399 SG#HSI RC2901ISG Issuer14:07:06
54789 UB#KUASORC2701EUBS AG13:47:28
56255 UB#HSI RC2808YUBS AG13:31:00
56350 MS#HSI RC2810XMorgan Stanley Asia Products Limited13:27:06
56131 JP#HSI RC2809MJ.P. Morgan Structured Products B.V.11:36:04
53233 JP#TENCTRC2706QJ.P. Morgan Structured Products B.V.11:11:46
54334 HS#TENCTRC2703CThe Hongkong and Shanghai Banking Corporation Limited11:11:46
53126 UB#PINANRC2810XUBS AG11:11:43
54285 UB#TENCTRC2701FUBS AG10:56:32
56013 BP#HSI RC2612ABNP Paribas Issuance B.V.10:52:00
56320 CI#HSI RC2808YCITIC Securities Brokerage (HK) Limited10:35:38
56220 HS#HSI RC28123The Hongkong and Shanghai Banking Corporation Limited10:26:44
56397 SG#HSI RC28114SG Issuer10:26:44
56175 DS#HSI RC28094DBS Bank Ltd10:04:34
56352 MS#HSI RC2809DMorgan Stanley Asia Products Limited10:04:34
56011 BP#HSI RC2612UBNP Paribas Issuance B.V.10:03:44
56126 JP#HSI RC28101J.P. Morgan Structured Products B.V.10:03:24
56253 UB#HSI RC28079UBS AG10:03:24
54599 JP#TENCTRC2702JJ.P. Morgan Structured Products B.V.10:01:21
56226 HS#TENCTRC2701PThe Hongkong and Shanghai Banking Corporation Limited10:01:21
56024 BP#SMIC RC2612GBNP Paribas Issuance B.V.10:00:43
54392 BP#HSI RP29059BNP Paribas Issuance B.V.09:40:28
54593 JP#HSI RP2906IJ.P. Morgan Structured Products B.V.09:40:28
54762 UB#HSI RP2901HUBS AG09:40:28
54985 DS#HSI RP29029DBS Bank Ltd09:40:28
55052 MS#HSI RP2903DMorgan Stanley Asia Products Limited09:40:28
55664 SG#HSI RP2904ISG Issuer09:40:24
53694 BP#HSI RP2905EBNP Paribas Issuance B.V.09:39:10
55469 JP#HSI RP2906TJ.P. Morgan Structured Products B.V.09:39:10
54192 SG#HSI RP2902TSG Issuer09:38:48
54498 CI#HSI RP2808NCITIC Securities Brokerage (HK) Limited09:38:48
55883 UB#HSI RP2901QUBS AG09:38:48
54663 BI#HSI RP2904QBOCI Asia Limited09:34:02
60508 HS#MTUANRP2807CThe Hongkong and Shanghai Banking Corporation Limited09:34:02
60671 SG#MTUANRP2812QSG Issuer09:34:02
63529 BP#MTUANRP2806LBNP Paribas Issuance B.V.09:34:02
54728 GJ#HSI RP2903LGuotai Junan Securities (Hong Kong) Limited09:33:34
54524 MS#HSI RP29017Morgan Stanley Asia Products Limited09:33:16
54750 UB#HSI RP28111UBS AG09:33:16
54937 BP#HSI RP2905JBNP Paribas Issuance B.V.09:33:16
55008 CT#HSI RP2812NCitigroup Global Markets Europe AG09:33:16
55035 CI#HSI RP2903VCITIC Securities Brokerage (HK) Limited09:33:16
55124 JP#HSI RP2906NJ.P. Morgan Structured Products B.V.09:33:16
55246 UB#HSI RP2812SUBS AG09:33:16
55396 HS#HSI RP2903DThe Hongkong and Shanghai Banking Corporation Limited09:33:16
56086 BP#HSI RP2905SBNP Paribas Issuance B.V.09:33:16
56167 HU#HSI RP2811ZHuatai Financial Holdings (Hong Kong) Limited09:33:16
56355 MS#HSI RP2904JMorgan Stanley Asia Products Limited09:33:16
55416 UB#ALIBARP2811GUBS AG09:33:12
56182 HS#ALIBARP2811IThe Hongkong and Shanghai Banking Corporation Limited09:33:12
59258 SG#ZIJINRP2812LSG Issuer09:33:03
56237 UB#TENCTRC2706SUBS AG09:30:00
53961 JP#HSI RP2906GJ.P. Morgan Structured Products B.V.09:20:38
54273 UB#HSI RP2812VUBS AG09:20:38
54345 DS#HSI RP29028DBS Bank Ltd09:20:38
55088 SG#HSI RP29043SG Issuer09:20:38
56034 BP#HSI RP2905NBNP Paribas Issuance B.V.09:20:38
56037 BP#HSI RP2905OBNP Paribas Issuance B.V.09:20:38
56065 BP#HSI RP2905PBNP Paribas Issuance B.V.09:20:38
56080 BP#HSI RP2905QBNP Paribas Issuance B.V.09:20:38
56104 CT#HSI RP2812OCitigroup Global Markets Europe AG09:20:38
56122 CT#HSI RP2802NCitigroup Global Markets Europe AG09:20:38
56132 JP#HSI RP2906VJ.P. Morgan Structured Products B.V.09:20:38
56133 JP#HSI RP2906WJ.P. Morgan Structured Products B.V.09:20:38
56135 JP#HSI RP2906XJ.P. Morgan Structured Products B.V.09:20:38
56151 JP#HSI RP2906YJ.P. Morgan Structured Products B.V.09:20:38
56169 HU#HSI RP28111Huatai Financial Holdings (Hong Kong) Limited09:20:38
56190 DS#HSI RP29027DBS Bank Ltd09:20:38
56197 DS#HSI RP2902ADBS Bank Ltd09:20:38
56206 BI#HSI RP2904TBOCI Asia Limited09:20:38
56207 BI#HSI RP2904UBOCI Asia Limited09:20:38
56213 GJ#HSI RP2903UGuotai Junan Securities (Hong Kong) Limited09:20:38
56215 GJ#HSI RP2903VGuotai Junan Securities (Hong Kong) Limited09:20:38
56221 HS#HSI RP2903FThe Hongkong and Shanghai Banking Corporation Limited09:20:38
56264 UB#HSI RP2901RUBS AG09:20:38
56265 UB#HSI RP2901SUBS AG09:20:38
56312 UB#HSI RP2901TUBS AG09:20:38
56319 UB#HSI RP2901UUBS AG09:20:38
56331 CI#HSI RP2903WCITIC Securities Brokerage (HK) Limited09:20:38
56336 CI#HSI RP28111CITIC Securities Brokerage (HK) Limited09:20:38
56339 CI#HSI RP2811WCITIC Securities Brokerage (HK) Limited09:20:38
56354 MS#HSI RP2902NMorgan Stanley Asia Products Limited09:20:38
56356 MS#HSI RP2904KMorgan Stanley Asia Products Limited09:20:38
56358 MS#HSI RP2904LMorgan Stanley Asia Products Limited09:20:38
56361 MS#HSI RP2904MMorgan Stanley Asia Products Limited09:20:38
56362 HS#HSI RP2903HThe Hongkong and Shanghai Banking Corporation Limited09:20:38
56366 HS#HSI RP2903IThe Hongkong and Shanghai Banking Corporation Limited09:20:38
56376 HS#HSI RP2903NThe Hongkong and Shanghai Banking Corporation Limited09:20:38
56412 SG#HSI RP29049SG Issuer09:20:38
56413 SG#HSI RP2902ZSG Issuer09:20:38
56417 SG#HSI RP2903JSG Issuer09:20:38
65128 JP#HKEX RP2812IJ.P. Morgan Structured Products B.V.09:20:11