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JPMorgan | 424B2: Prospectus

摩根大通 | 424B2:募资说明书

美股SEC公告 ·  02/23 17:26
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JPMorgan Chase Financial Company LLC, a subsidiary of JPMorgan Chase & Co., has announced the issuance of Callable Contingent Interest Notes linked to the lesser performing of the S&P 500 Index and the SPDR S&P Regional Banking ETF, with a due date of March 4, 2027. The notes, which are designed for investors seeking contingent interest payments based on the performance of the specified indices, may be redeemed early at JPMorgan's discretion on certain dates, with the earliest possible redemption date being March 4, 2025. The notes are unsecured and unsubordinated obligations of JPMorgan Financial, with payments fully and unconditionally guaranteed by JPMorgan Chase & Co. The notes are expected to price on or about February 27, 2024, and settle on or about March 1, 2024. The notes...Show More
JPMorgan Chase Financial Company LLC, a subsidiary of JPMorgan Chase & Co., has announced the issuance of Callable Contingent Interest Notes linked to the lesser performing of the S&P 500 Index and the SPDR S&P Regional Banking ETF, with a due date of March 4, 2027. The notes, which are designed for investors seeking contingent interest payments based on the performance of the specified indices, may be redeemed early at JPMorgan's discretion on certain dates, with the earliest possible redemption date being March 4, 2025. The notes are unsecured and unsubordinated obligations of JPMorgan Financial, with payments fully and unconditionally guaranteed by JPMorgan Chase & Co. The notes are expected to price on or about February 27, 2024, and settle on or about March 1, 2024. The notes are not bank deposits, are not FDIC insured, and involve a number of risks, including the potential loss of principal. The offering is subject to completion, with a registration statement filed but not yet effective as of February 22, 2024. Investors are advised to read the 'Risk Factors' sections in the accompanying prospectus supplement and product supplement for a more detailed explanation of the risks involved.
摩根大通的子公司摩根大通金融有限责任公司宣布发行与标普500指数和SPDR标普区域银行ETF表现不佳相关的可赎回或有利息票据,到期日为2027年3月4日。这些票据专为根据特定指数的表现寻求或有利息支付的投资者而设计,摩根大通可以在某些日期提前兑换,最早的赎回日期为2025年3月4日。这些票据是摩根大通金融的无抵押和无次级债务,付款由摩根大通全额无条件担保。这些票据预计将于2024年2月27日左右定价,并在2024年3月1日左右结算。这些票据不是银行存款,也没有联邦存款保险公司的保险,涉及许多风险,包括潜在的本金损失。此次发行尚待完成,注册声明已提交,但截至2024年2月22日尚未生效。建议投资者阅读随附的招股说明书补充文件和产品补充文件中的 “风险因素” 部分,以更详细地解释所涉及的风险。
摩根大通的子公司摩根大通金融有限责任公司宣布发行与标普500指数和SPDR标普区域银行ETF表现不佳相关的可赎回或有利息票据,到期日为2027年3月4日。这些票据专为根据特定指数的表现寻求或有利息支付的投资者而设计,摩根大通可以在某些日期提前兑换,最早的赎回日期为2025年3月4日。这些票据是摩根大通金融的无抵押和无次级债务,付款由摩根大通全额无条件担保。这些票据预计将于2024年2月27日左右定价,并在2024年3月1日左右结算。这些票据不是银行存款,也没有联邦存款保险公司的保险,涉及许多风险,包括潜在的本金损失。此次发行尚待完成,注册声明已提交,但截至2024年2月22日尚未生效。建议投资者阅读随附的招股说明书补充文件和产品补充文件中的 “风险因素” 部分,以更详细地解释所涉及的风险。
声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息