FORM 6-K
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Report of Foreign Private Issuer
Pursuant to Rule 13a - 16 or 15d - 16 of
the Securities Exchange Act of 1934
For the month of March
HSBC Holdings plc
42nd Floor, 8 Canada Square, London E14 5HQ, England
(Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F).
Form 20-F X Form 40-F ......
(Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934).
Yes....... No X
(If "Yes" is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b): 82- ..............).
HSBC
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30 March 2010
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Maximum dividend available
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= maximum number of new shares (rounded down to the nearest whole number)
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Market Value
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Your cash dividend (1,000 x US$0.10)
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US$
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100.00
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||
Plus residual dividend entitlement brought forward (say)
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US$
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4.00
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||
Maximum dividend available
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US$
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104.00
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||
Number of new shares =
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US$ 104.00
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= 10.1812
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= 10 new shares
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US$10.2149
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Total Market Value of 10 new shares = 10 x US$10.2149
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US$
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102.15
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||
Plus residual dividend entitlement carried forward (US$104.00 - US$102.15)
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US$
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1.85
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||
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US$
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104.00
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||
Your cash dividend (1,000 x US$0.10)
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US$
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100.00
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||
Plus residual dividend entitlement brought forward
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US$
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4.00
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||
Maximum dividend available
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US$
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104.00
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||
600 existing shares on which you wish to receive new shares (600 x US$0.10)
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US$
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60.00
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||
Plus residual dividend entitlement brought forward
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US$
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4.00
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||
Total available to elect for new shares
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US$
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64.00
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||
Number of new shares =
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US
$64.00
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=
6.2654
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= 6 new shares
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US$
10.2149
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Total Market Value of 6 new shares = 6 x US$10.2149
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US$
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61.29
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||
Plus residual entitlement to be carried forward to next dividend (US$64.00-US$61.29)
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US$
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2.71
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Plus balance of maximum dividend available to be paid in cash (US$104.00-US$64.00)
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US$
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40.00
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Maximum dividend available
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US$
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104.00
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Section B
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Complete this section with the relevant number of shares if you wish to receive your dividend in cash in a combination of the available currencies or in a combination of cash and new shares
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|||||
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I/We wish to receive my/our dividend in shares and/or cash, based on the number of ordinary shares shown in box 1 above, as follows:
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|||||
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in shares
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(i) Number of shares on which I wish to receive new shares
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600
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Shares
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in cash
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(ii) Number of shares on which I wish to receive cash in sterling
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GBP
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134
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Shares
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(iii) Number of shares on which I wish to receive cash in US dollars
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USD
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133
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Shares
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(iv) Number of shares on which I wish to receive cash in Hong Kong dollars
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HKD
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133
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Shares
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Total number of existing shares
(the sum of (i) to (iv))
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1000
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Shares
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Number of new shares you wish to receive x Market Value
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=
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Number of shares on which to elect to receive new shares
(rounded down to the nearest whole number) |
Cash dividend of US$0.10 per share
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Ordinary shares quoted ex-dividend in London, Hong Kong, Paris and Bermuda
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17 March 2010
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American Depositary Shares quoted ex-dividend in New York
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17 March 2010
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Record date for the fourth interim dividend for 2009 for holders on the Hong Kong Overseas Branch Register
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18 March 2010
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Record date for the fourth interim dividend for 2009 for holders on the Principal Register or the Bermuda Overseas Branch Register
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19 March 2010
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FINAL DATE FOR RECEIPT BY REGISTRARS OF FORMS OF ELECTION, REVOCATIONS OF STANDING INSTRUCTIONS FOR SCRIP DIVIDENDS AND ELECTRONIC INSTRUCTIONS
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22 April 2010
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Exchange rate determined for payment of dividends in sterling and Hong Kong dollars
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26 April 2010
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Payment date - dividend warrants mailed; new share certificates or Bermuda Overseas Branch Register Transaction Advices and Notional Tax Vouchers mailed; shares credited to stock accounts in CREST
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5 May 2010
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Expected first day of dealings in new shares in London, Hong Kong, Paris and Bermuda; and in American Depositary Shares in New York
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5 May 2010
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Principal Register
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Hong Kong Overseas Branch Register
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Computershare Investor Services PLC
The Pavilions Bridgwater Bristol
BS99 6ZZ
United Kingdom
Telephone: (44) 0870 702 0137
Email via website: www.investorcentre.co.uk/contactus
Investor Centre: www.computershare.com/investor/uk
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Computershare Hong Kong Investor Services Limited
Hopewell Centre
Road Rooms 1712-1716, 17th Floor 183 Queen's Road East Hong Kong SAR
Telephone: 2862 8555
Email: hsbc.ecom@computershare.com.hk
Investor Centre: www.computershare.com/hk/investors |
Bermuda Overseas Branch Register
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US Shareholder helpline
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Corporate Shareholder Services
The Bank of Bermuda Limited
6 Front Street
Hamilton HM 11
Bermuda
Telephone: 299 6737
Email: bob.bda.shareholder.services@bob.hsbc.com
Investor Centre: www.computershare.com/investor/bm
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Telephone: 1 866 299 4242
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SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
HSBC Holdings plc
By:
Name: P A Stafford
Title: Assistant Group Secretary
Date: 30 March, 2010