HSBC Securities (USA), Inc.

HSBC Securities (USA), Inc.

HSBC Securities (USA), Inc.

Overview
Date Founded

1969

Headquarters

452 Fifth Avenue New York NY United States 10018

Type of Company

Private

Employees (Worldwide)

943

Industries

Investment Banking & Brokerage

Company Description

Founded in 1969, HSBC Securities (U.S.A.) Inc. is an SEC-registered brokerage firm and registered futures commission merchant located in New York City. The firm is a wholly-owned subsidiary of HSBC North America Holdings, Inc. and their ultimate parent is HSBC Holdings Plc. (NYSE: HBC). HSBC Securities (U.S.A.) is a member of FINRA, the NYSE and the SIPC. Their securities and annuity products are provided by registered representatives and insurance agents of HSBC Securities (U.S.A.). In California, HSBC Securities (U.S.A.) conducts insurance business as HSBC Securities Insurance Services. Insurance products are offered through insurance agents of HSBC Insurance Agency (U.S.A.) Inc., a wholly-owned subsidiary of HSBC Bank U.S.A. NA and an indirectly wholly-owned subsidiary of HSBC Holdings plc. The company also engages in investment banking underwriting, dealing and brokering of debt and equity securities and futures contracts and is a primary dealer in U.S. Government and federal agency securities.

Contact Data
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Executives & Employees

President, Chief Executive Officer & Director

General Counsel

Chief Compliance Officer

Chief Compliance Officer

Chief US Economist

Southern Cone & Andean Equity Strategist

Head of Global Banking & Markets Marketing, Americas

Co-Head, Debt Capital Markets for The Americas

Chief Compliance Officer/Director/Head of Compliance Global Banking & Markets, North America

Head of Operations/Chief Operating Officer/Principal Operations Officer

Board of Directors

Director & Officer at HSBC Securities (USA), Inc.

Chief Financial Officer-Global Banking & Markets & North America at HSBC Holdings Plc

Former Interim Chief Operating Officer at HSBC Holdings Plc

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Recent Transactions
Details Hidden

KPS Capital Partners LP purchases Howden Group Ltd. from Colfax Corporation

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Baker Hughes, a GE Co. issued USD Common Stock

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CrowdStrike Holdings, Inc. issued USD Common Stock

Transaction Clients
Lender

Advised on Clayton Dubilier & Rice LLC purchases Siteone Landscape Supply LLC from Deere & Co.

Underwriter

Advised on Nielsen NV issued Common Stock

Investment Advisor

Advised on KPS Capital Partners LP purchases Howden Group Ltd. from Colfax Corporation

Transaction Advisors
Legal Advisor

Advised onUber Technologies, Inc. issued USD Common Stock

Legal Advisor

Advised onDanaher Corporation issued USD Common Stock

Legal Advisor

Advised onAIG issued Common Stock

Counsel

Advised onUber Technologies, Inc. issued USD Common Stock

Counsel

Advised onBlackRock Municipal 2030 Target Term Trust issued Common Stock

Counsel

Advised onFacebook, Inc. issued Class A Common Stock

Advisors & Consultants
Marketer

Founded in 1969, Morgan Stanley & Co. LLC is an SEC-registered broker/dealer headquartered in New York City. The firm is the primary broker subsidiary of Morgan Stanley (NYSE: MS). They are a member of FINRA. Morgan Stanley & Co. provides debt and equity services including underwriting, M&A advice, securities dealing and brokerage and trade execution. Their client base ranges from large global institutional investors to hedge funds at the cutting edge of innovation in the industry.The firm's Sales & Trading division offers cash and electronic trading platforms where Morgan Stanley acts as principal (including as a market maker) and agent in executing transactions globally in equity and equity-related products. These products include equity swaps, options, warrants and futures overlying individual securities, indices and baskets of securities and other equity-related products. Morgan Stanley's Institutional Equity division is a global leader in the origination, distribution and trading of equity, equity-linked and equity-derivative securities. Their Fixed Income team deals in a diverse range of products including interest rate and currency products, credit products, derivatives and commodities.

Legal Advisor

Partner at DLA Piper

Legal Advisor

Partner at Cleary Gottlieb Steen & Hamilton LLP

Legal Advisor

Shareholder at Greenberg Traurig LLP

Clients

CoPERA's trust funds are invested under the direction of a board of trustees. Their investment strategy uses actuarially established asset allocation investment objectives with long-term goals and policies. Assets are diversified into domestic and international stocks, corporate, government, and international bonds, mortgages, real estate and alternative investments. The fund is long-term in nature and the selection of investments is regulated by statutory limitation, investment time horizon, the limits of acceptable risk and the objective of optimizing the total rate of return. The targeted strategic asset allocation is designed to provide an optimal diversification to reduce risk and maximize total rate of return relative to risk. Many of CoPERA's actively managed portfolios are managed by outside sub-advisors.

Key Stats and Financials As of 2019
Market Capitalization
Total Enterprise Value
Earnings Per Share
Revenue
$184M
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