Regulatory Disclosures - Banking (Disclosure) Rules
Dah Sing Bank, Limited
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2033 with the first optional redemption date on 15 November 2028 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2033 with the first optional redemption date on 15 November 2028 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2033 with the first optional redemption date on 15 November 2028 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
- US$250,000,000 Fixed Rate Notes due November 2033 with the first optional redemption date on 15 November 2028 in Tier 2 Capital
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$150,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2027
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$300,000,000 Fixed Rate Notes due November 2031 with the first optional redemption date on 2 November 2026 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2029 with the first optional redemption date on 15 January 2024 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
- US$115,000,000 Additional Tier 1 Capital Securities with the first optional redemption date on 8 December 2022
Regulatory Disclosure Statement
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
- US$250,000,000 Fixed Rate Notes due November 2026 with the first optional redemption date on 30 November 2021 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
- US$225,000,000 Fixed Rate Notes due January 2024 with the first optional redemption date on 29 January 2019 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital
Terms and conditions of the instruments included in the capital base (the following documents are available in English version only)
- Ordinary share capital in Common Equity Tier 1 Capital
- US$225,000,000 Fixed Rate Notes due February 2020 in Tier 2 Capital
- US$200,000,000 Fixed Rate Notes with the first optional redemption date on 17 February 2017 in Tier 2 Capital
- S$225,000,000 Fixed Rate Notes due February 2022 with the first optional redemption date on 9 February 2017 in Tier 2 Capital