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Date*: Compagnie de Financement Foncier Issue of UD 750,000,000 5.50 per cent Fixed Rate Note due September 2015 Important Risk Warning: This is an investment product. The investment decision is yours but you should not invest in this product unless the intermediary who sells it to you has explained to you that the product is suitable for you having regard to your financial situation, investment experience and investment objectives. This Note is NOT equivalent to a time deposit. Issuer's risk - This Note is subject to both the actual and perceived measures of credit worthiness of Compagnie de Financement Foncier. There is no assurance of protection against a default by the issuer in respect of the repayment obligations. In the worst case scenario, you might not be able to recover the principal and any coupon if the issuer defaults on the note. dditional risks are disclosed in the section of Risk Factor below. Please refer to it for details. WRNING The contents of this document have not been reviewed by any regulatory authority in Hong Kong. You are advised to exercise caution in relation to the offer. If you are in any doubt about any of the contents of this document, you should obtain independent professional advice. IMPORTNT If you are in doubt as to any aspect of this offer, you should consult a licensed securities dealer, bank manager, solicitor, certified public accountant or other professional adviser. * If you receive this termsheet via email, the date of the termsheet is the date as stated on the email to which it is attached. If you receive this termsheet via fax, the date of the termsheet is the date as stated on the document header or on the cover letter which accompanies the termsheet. If you are viewing this termsheet over the internet, the date of the termsheet is the date as stated on the webpage to which it is shown.

Issuer: Guarantor: Rating: Termsheet Compagnie de Financement Foncier Series No: N/ None Tranche No: N/ ISIN Code: U0000CFFHB8 Issuer s rating: aa/ (as of 3 rd December 2010) Note s rating: aa/ (as of 3 rd December 2010) Senior Secured The Notes constitute direct, unconditional and, privileged Status of the Note: obligations of the Issuer and rank and will rank pari passu and without any preference among themselves and equally and rateably with all other present or future and other resources raised by the Issuer. Type: Fixed Rate Note Structure: Plain vanilla Currency & mount of the issue: UD750,000,000 Issue Date & Interest Commencement Date 22/09/2005 (DD/MM/YYYY) Maturity Date: 22/09/2015 (DD/MM/YYYY) Coupon: 5.50 per cent. per annum Denomination: UD10,000 Minimum Investment Per investor : UD20,000 mount: Redemption at maturity: t par (100%) Coupon frequency: Semi-nnual Interest Payment Dates(s): 22 nd March and September in each year commencing on 22 March 2006 Business Day Convention: Following Business Day Convention pply To: Interest Payment Date, Maturity Date Day Count Fraction: RB Bond Basis Business Days: Sydney and on which TRGET System is open Listing and Pricing This Note is listed on ustralian Stock Exchange ( the Exchange ). The information with regards to the last closing price and historical prices of this Note, which required by Securities and Futures Ordinance Schedule 7 Part 2 Section 1 (b), (c), (d) and (e), are not included in the document because: there is no record of any trading activity of this Note on the Exchange; the historical prices including but not limited to the closing price on the last trading day immediately preceding (a) this offer, and (b) each of the 6 months

Use of Proceeds: Paying gent & Registrar: Clearing: Law: Description of Issuer: Contact Information of Issuer Fees & Charges Stamp Duty there has been no public announcement in relation to this offer Proceeds from the issue of notes will be used by the Issuer for its general corporate purposes ustraclear Services Limited ustraclear Services Limited New South Wales, ustralia Compagnie de Financement Foncier is a credit institution approved as a finance company and société de crédit foncier by decision of the Comité des Etablissements de Crédit et des Entreprises d Investissements - CECEI (Committee of Credit Institutions and Investment Companies) dated 23 July 1999. Consequently, it is governed by the general body of legislative and regulatory provisions applicable to credit institutions, and, as a société de crédit foncier, by the specific provisions of Section IV of the second part of French Law 99-532 of June 25, 1999 governing savings and financial security, which has been incorporated into rticles L515-13 to L515-33 of the French Monetary and Financial Code. It is a wholly-owned subsidiary of the Crédit Foncier Group. Its mission is to finance real estate and local public sector credit activity for its parent company as well as for the Caisses d Epargne Group as a whole. Place of France Incorporation: Registered Office 19, rue des Capucines, ddress: 75001 Paris, France Telephone number: +33 1 57 44 92 20 Safe Custody Waived Interest Collection Waived Redemption at Maturity Waived No Hong Kong stamp duty is payable on the purchase of the Notes Risk Factors There are investment risks involved in buying the Note. Before applying for any of the Note, you should consider whether the Note is suitable for you in light of your own financial circumstances and investment objectives. If you are in any doubt, get independent professional advice.

The Note is mainly for medium to long term investment, not for short term speculation. You should be prepared to invest your funds in the Note for the full investment tenor; you could lose part or all of your investment if you choose to sell the Note prior to maturity. It is the issuer to pay interest and repay principal of the Note. If the issuer defaults, the holder of the Note may not be able to receive back the interest and principal. The holder of the Note bears the credit risk of the issuer and has no recourse to HSBC unless HSBC is the issuer itself. Indicative price of the Note are available and the Note s price do fluctuate when market changes. Factors affecting market price of the Note include, and are not limited to, fluctuations in Interest Rates, Credit Spreads, and Liquidity Premiums. The fluctuation in yield generally has a greater effect on prices of longer tenor bonds. There is an inherent risk that losses may be incurred rather than profit made as a result of buying and selling the Note. If you wish to sell the Note, HSBC may repurchase it based on the prevailing market price under normal market circumstances, but the buying price may differ from the original selling price due to changes in market conditions. There may be exchange rate risks if you choose to convert payments made on the Note to your home currency. The secondary market for the Note may not provide significant liquidity or may trade at prices based on the prevailing market conditions and may not be in line with the expectations of the Note holders. If the Note is early redeemed, you may not be able to enjoy the same rates of return when you reinvest the funds in other investments Investor s Commitment and cknowledgements When you place your order for the Note, you are deemed to make a series of confirmations and acknowledgements, including that you: (i) (ii) (iii) (iv) have read and understood this Term Sheet, including the risks of investing in the Note as explained in the section Risk Factors ; understand that you should refer to the Offering Circular and pricing supplement, which are available upon request, for further details on the terms of the Note and risks involved; confirm that you are prepared to invest your funds in the Note for the full investment tenor; you could also lose part or all of your investment if you choose to sell your Note prior to maturity. understand that this document is not intended to provide and should not be relied upon for tax, legal or accounting advice, investment recommendations or credit worthiness or other evaluation of the Issuer; prospective investors should consult their tax, legal, accounting and/or other advisors. How to find out the current market value of your investment after purchase? The current market value of your investment will be available upon request. Please contact our staff at any HSBC branch in Hong Kong. Note: If you have any feedback or complaint about any aspect of the service you have received, please contact our Hong Kong branches, call us on (852) 2233 3000, or write to the Quality Service Management Department, P.O. Box No. 71169, Kowloon Central Post Office, or send an email to feedback@hsbc.com.hk. We will respond to a complaint within a reasonable period of time normally not exceeding 30 days in general circumstances. If you are not satisfied with the outcome of your complaint,

you have the right to refer the matter to the Banking Services Complaints Unit of Hong Kong Monetary uthority at 55th Floor Two International Finance Centre, 8 Finance Street, Central, and Hong Kong. References to websites References to the websites stated in this document where further information may be obtained are intended as guides for you to access further public information on the listed securities. Information appearing on such websites is not part of the offering documents. HSBC accept no responsibility whatsoever that such other information, if available, is accurate and/or up-to-date, and no responsibility is accepted in relation to any such information by us and our respective affiliates. Disclaimer The Hongkong and Shanghai Banking Corporation Limited ( HSBC ) has issued this document. ny opinions expressed therein are given in good faith, but are subject to change without notice. No liability is accepted whatsoever for any direct or consequential loss arising from the use of this document. Please note that the above rates or prices are for indicative purposes only and may vary in accordance with changes in market condition. Distribution of this document may be restricted by law in certain jurisdictions and the information contained herein is to the recipients and may not be reproduced or otherwise disseminated. HSBC and its affiliates and/or officers, directors and employees may have positions in any instruments or currencies mentioned in this document and may from time to time add to or dispose of such instruments or currencies. User of the information is advised to make independent judgment with respect to any matter contained herein. Issued by The Hongkong and Shanghai Banking Corporation Limited ( HSBC ) registered at 1 Queen s Road Central, Hong Kong The Hongkong and Shanghai Banking Corporation Limited is the distributor which is a wholly owned subsidiary of HSBC Holdings plc, the holding company of the HSBC Group. The Hongkong and Shanghai Banking Corporation Limited uthorised and Regulated by Hong Kong Monetary uthority registered institution under the Securities and Futures Ordinance, with Central Entity Identity Number 523 Registered Office: 1 Queen s Road Central, Hong Kong Tel: +852 2996 6730, Member HSBC Group

日期 *: Compagnie de Financement Foncier 發行 750,000,000 澳元 5.50% 定息票據 2015 年 9 月到期 重要風險通知 : 此乃投資產品 投資決定是由閣下自行作出的, 但閣下不應投資在該產品, 除非中介人於銷售該產品時已向閣下解釋經考慮閣下的財務情況 投資經驗及目標後, 該產品是適合閣下的 本票據並不相等於定期存款 發行人風險 本票據表現受 Compagnie de Financement Foncier. 的實際和預計借貸能力所影響 就償債責任而言, 本票據不保證發行人不會拖欠債務 在最壞情況下, 如果發行者不履行契約本票據持有人可能無法取回本票據的利息和本金 以下 風險因素 部份將列出其他風險因素, 詳情請參閱有關部份 警告 本文件的內容未經在香港的規管當局審核 你應就有關要約謹慎行事 如你對本文件的任何內容有任何疑問, 你應尋求獨立專業意見 重要提示 如你對此要約的任何方面有疑問, 應諮詢持牌證券交易商 銀行經理 律師 會計師或其他專業顧問 * 倘閣下通過電子郵件收到本條款表, 條款表日期即隨附郵件所示的日期 倘閣下通過傳真收到本條款表, 條款表日期即文件頁首或條款表附函所示的日期 倘閣下通過互聯網瀏覽本條款表, 條款表日期即為條款表所在網頁所示的日期

發行人 : 擔保人 : 評級 : 條款表 Compagnie de Financement Foncier 序列號 : 不適用無票據號 : 不適用 ISIN 編碼 : U0000CFFHB8 發行人評級 : aa / ( 於 2010 年 12 月 3 日 ) 票據評級 : aa / ( 於 2010 年 12 月 3 日 ) 高級有抵押 票據的地位 : 本票據構成發行人直接 無條件及優先責任, 彼等各自之間享有並將享有同等地位, 並無任何優先權, 與發行人所有 其他現時或未來之責任或籌集之其他資源享有同等及相 同比例之權益 類別 : 定息票據 結構 : 普通債券 貨幣及發行金額 : 750,000,000 澳元 發行日期及計息開始日期 : 22/09/2005 ( 日 / 月 / 年 ) 到期日期 : 22/09/2015 ( 日 / 月 / 年 ) 票息 : 每年 5.50% 面額 : 10,000 澳元 最小投資額 : 每位投資者 :20,000 澳元 到期贖回 : 按面值 (100%) 票息頻率 : 每半年 利息支付日期 : 自 2006 年 3 月 22 日起每年的 3 月 22 日及 9 月 22 日 營業日慣例 : 緊隨營業日慣例 適用於 : 利息支付日期, 到期日期 計息日期慣例 : 澳洲中央銀行債券計息基準 營業日 : 悉尼及 TRGET 系統開放之日期 上市及定價 : 本票據於澳大利亞證券交易所 ( 交易所 ) 上市 證券及期貨條例附表 7 第 2 部第 1(b) (c) (d) 及 (e) 條規定, 有關本票據最後收市價及歷史價格的資料並無載入本文件, 原因是 : 所得款項用途 : 本票據在交易所並無任何交易活動記錄 ; 歷史價格 ( 包括但不限於緊接 (a) 此項要約前, 及 (b) 緊接此項要約前 6 個月每個月的最後交易日的收市價, 以及在過往 6 個月期間內的最高及最低收市價 ) 並無透過交易所及 或其他公眾渠道提供 ; 及 並無關於本要約的公開宣告票據發行所得款項將由發行人用作一般企業用途

付款代理人及過戶登記處 : 結算 : 法律 : 發行人簡介 : 發行人聯絡資料 : 服務收費印花稅 ustraclear Services Limited ustraclear Services Limited 澳大利亞, 新南威爾士 Compagnie de Financement Foncier 為一間信貸機構, 並於 1999 年 7 月 23 日獲 Comité des Etablissements de Crédit et des Entreprises d Investissements CECEI( 法國信用及投資機構委員會 ) 決定批准為金融公司及 société de crédit foncier 此後, 該公司受適用於信貸機構的一般法律及監管條例管轄, 及作為 société de crédit foncier, 受 1999 年 6 月 25 日法國法律 99-532 第二部分第 IV 部有關儲蓄及金融證券的特定條文管轄 ( 已載入 法國貨幣及金融守則 第 L515-13 章至 L515-33 章 ) 該公司為 Crédit Foncier Group 之全資附屬公司 其宗旨在於為其母公司以及 Caisses d Epargne Group 整體提供不動產及當地公共部門信貸活動的融資 註冊成立地址 : 法國註冊辦事處地址 : 19, rue des Capucines, 75001 Paris, France 聯絡電話 : +33 1 57 44 92 20 託管服務豁免代收利息豁免到期贖回豁免購買本票據無須支付香港印花稅 風險因素 本票據涉及投資風險 在投資於本票據之前, 投資者應就本身的財政狀況及投資目標, 考慮是否適合投資於本票據 如有任何疑問, 應諮詢獨立專業顧問的意見 本票據主要提供中長期的投資, 並不是短線投機的工具 你應準備於整段投資期內將資金投資於本票據上 ; 若你選擇在到期日之前提早出售本票據, 可能會損失部份或全部的投資本金額 本票據的利息和本金是由發行者去償還, 票據持有人須承擔發行者的信貸風險 如果發行者不履行契約, 票據持有人可能無法取回本票據的利息和本金 在此情況下, 票據持有人不能向滙豐追討任何賠償, 除非滙豐本身為該票據之發行者

滙豐提供本票據的參考價格, 其價格可能會及確會波動 影響本票據價格的因素包括, 但不限於, 利率, 債券息差及流通性溢價的波動 而孳息率的上落對越長年期的債券價格影響一般較大 買賣債券帶有風險, 投資者未必能夠賺取利潤, 可能會招致損失 如你打算出售經滙豐代您購入的票據, 滙豐可在正常市場下, 按市價進行有關交易 但基於市場變動, 買入價與原定的賣出價可能不同 倘若你選擇將票據所支付的付款兌換為本國貨幣, 可能須承受匯率波動的風險 發行人提供的二手市場或不能提供龐大的流通量或按對持有人有利之價格買賣 如本票據被提早贖回, 您轉而投資於其他投資項目, 未必能取得相同回報 投資者責任及聲明 投資者向分銷商購買本票據時, 投資者將被視為作出一系列承諾及聲明, 包括 : (v) (vi) (vii) (viii) 已閱讀及理解本條款概要內, 包括 風險因素 部分所說明的有關投資本票據的風險 ; 明白應參閱可向滙豐索取的發售通函及發行日後訂定的定價補充文件, 以便獲得本票據的進一步資料 確認準備於整段投資期內將資金投資於本票據上 ; 若投資者選擇在到期日之前提早出售本票據, 可能會損失部分或全部的投資本金 明白本文不擬提供稅務 法律或會計意見 投資建議或對發行人的誠信或其他方面進行評估, 投資者亦不應依賴本文作上述用途 準投資者應諮詢其稅務 法律 會計及 / 或其他顧問 在投資票據後, 怎樣查詢票據的市值? 您可聯絡滙豐在香港的各分行查詢票據的市值 注意:如您對我們的服務有任何意見或投訴, 請聯絡我們在香港的任何分行 致電 (852)- 2233 3000 致函我們的優質服務管理部 ( 九龍中央郵政局郵政信箱 71169 號 ) 或電郵至 feedback@hsbc.com.hk 我們在一般情況下會於合理的時間 ( 通常 30 日 ) 內回覆客戶的投訴 若您對投訴結果仍有不滿, 可向香港金融管理局的銀行服務投訴組提出書面投訴, 地址為香港中環金融街 8 號國際金融中心 2 期 55 樓 如票據在到期時支付掛鈎股票 ( 如適用 ), 請注意香港交易所買賣的產品受 «證券及期貨條例» 下的投資者賠償計劃保障 關於網站的提述

本文件有提述若干網站, 其中或可提供進一步資料, 以指引閣下取得有關上市證券的更多公眾資料 該等網站所載的資料並非發售文件的一部份 滙豐對該等其他資料 ( 如有 ) 是否準確及 或最新概不承擔任何責任, 且本集團及本集團相關聯屬公司對任何該等資料概不承擔責任 免責聲明香港上海滙豐銀行有限公司 ( 滙豐 ) 刊發本文件 本文件內發表之意見乃真誠地發表, 惟可未經通知而改變 滙豐概不就使用本文件所導致之任何直接或相應而生之損失接納任何責任 謹請注意, 上述利率及價格乃僅供參考, 並可能根據市況而變動 若干司法管轄區之法律可能限制派發本文件, 而本交件中所載之資料乃僅供收件人閱覽, 不得複製或以其他形式傳佈 滙豐及其聯屬公司及 / 或高級職員 董事及僱員可能就本文件所述之任何金融工具或貨幣持倉, 並可不時增加或出售有關金融工具或貨幣 使用資料之人士務請就其中所載之任何事宜作出獨立判斷 由香港上海滙豐銀行有限公司 ( 滙豐, 註冊地址為香港皇后大道中 1 號 ) 刊發 香港上海滙豐銀行有限公司是分銷商, 為滙豐集團旗下控股公司 滙豐控股有限公司的全資附屬公司 香港上海滙豐銀行有限公司經由香港金融管理局授權及監管根據 << 證券及期貨條例 >> 註冊為註冊機構, 於證券及期貨事務監察委員之中央註冊編號為 523 註冊辦事處 : 香港皇后大道中 1 號電話 :+852 2996 6730, 滙豐集團成員