424B3 1 supp114final.htm PRICING SUPP 114 FINAL



HSBC Finance Corporation - Registration No. 333-120496
Rule 424(b)(3)

Pricing Supplement No. 114

Dated Monday, June 25, 2007

 

CUSIP
Number

Principal Amount

Gross Concession

Net
Proceeds

Coupon Type

Coupon Rate

Coupon Frequency

Day Count Basis

40429XSR8

 

$9,904,000.00

0.625%

$9,842,100.00

Fixed

5.400%

Semi-Annual

30/360

Maturity

Date

1st Coupon Date

1st Coupon Amount

Survivors Option

Product

Ranking

Moody’s Rating

S & P Rating

06/15/2010

12/15/2007

$25.05

Yes

Senior Unsecured Notes

Aa3

AA-

Redemption Information: Non-Callable

 

CUSIP
Number

Principal Amount

Gross Concession

Net
Proceeds

Coupon Type

Coupon Rate

Coupon Frequency

Day Count Basis

40429XSS6

$12,704,000.00

0.750%

$12,608,720.00

Fixed

5.550%

Semi-Annual

30/360

Maturity

Date

1st Coupon Date

1st Coupon Amount

Survivors Option

Product

Ranking

Moody’s Rating

S & P Rating

06/15/2011

12/15/2007

$25.75

Yes

Senior Unsecured Notes

Aa3

AA-

Redemption Information: Non-Callable

 

CUSIP
Number

Principal Amount

Gross Concession

Net
Proceeds

Coupon Type

Coupon Rate

Coupon Frequency

Day Count Basis

40429XST4

$3,978,000.00

1.200%

$3,930,264.00

Fixed

5.750%

Semi-Annual

30/360

Maturity

Date

1st Coupon Date

1st Coupon Amount

Survivors Option

Product

Ranking

Moody’s Rating

S & P Rating

06/15/2014

12/15/2007

$26.67

Yes

Senior Unsecured Notes

Aa3

AA-

Redemption Information: Non-Callable

 

Joint Lead Managers and Lead Agents: Banc of America Securities LLC, HSBC Securities (USA) Inc. and Incapital LLC.
Agents: A.G. Edwards & Sons, Inc., Charles Schwab & Co., Inc., Citigroup, Edward D. Jones & Co., L.P., Fidelity Capital Markets, a division of National Financial Services, LLC, Merrill Lynch & Co., Morgan Stanley, RBC Dain Rauscher Inc., UBS Securities LLC and Wachovia Securities, LLC.

 

If the maturity date or an interest payment date for any note is not a Business Day (as term is defined in Prospectus), principal, premium, if any, and interest for that note is paid on the next Business Day, and no interest will accrue from, and after, the maturity date or interest payment date.

The notes represent obligations of HSBC Finance Corporation and are not obligations of, nor guaranteed by, HSBC Holdings plc or any of its affiliates.

HSBC Finance Corporation
2700 Sanders Road
Prospect Heights, IL 60070

Offering Dates: Monday, June 18, 2007 through
Monday, June 25, 2007
Trade Date: Monday, June 25, 2007 @ 12:00 PM ET
Settlement Date: Thursday, June 28, 2007
Minimum Denomination/Increments: $1,000.00/$1,000.00
Initial Trades Settle Flat and clear SDFS: DTC Book Entry Only
DTCNumber: 0235 via RBC Dain Rauscher Inc.
InterNotes® is a registered trademark of
Incapital Holdings LLC
All rights reserved.

HSBC Finance Corporation


$5,000,000,000
HSBC Finance InterNotes

 

Prospectus Dated
17-Dec-04