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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  07/10 16:08
Moomoo AI 已提取核心信息
JPMorgan Chase Financial Company LLC, a wholly owned subsidiary of JPMorgan Chase & Co., has announced the pricing of $274,000 Callable Contingent Interest Notes linked to the performance of the Nasdaq-100 Technology Sector Index, the Russell 2000 Index, and the S&P 500 Index, with a maturity date of July 13, 2027. The notes, which are designed for investors seeking contingent interest payments based on the performance of the indices, were priced on July 8, 2024, and are expected to settle on or about July 11, 2024. The notes offer the potential for investors to receive interest payments if the closing level of each index is above 60% of its initial value on any review date. However, investors also bear the risk of losing some or all of their principal if...Show More
JPMorgan Chase Financial Company LLC, a wholly owned subsidiary of JPMorgan Chase & Co., has announced the pricing of $274,000 Callable Contingent Interest Notes linked to the performance of the Nasdaq-100 Technology Sector Index, the Russell 2000 Index, and the S&P 500 Index, with a maturity date of July 13, 2027. The notes, which are designed for investors seeking contingent interest payments based on the performance of the indices, were priced on July 8, 2024, and are expected to settle on or about July 11, 2024. The notes offer the potential for investors to receive interest payments if the closing level of each index is above 60% of its initial value on any review date. However, investors also bear the risk of losing some or all of their principal if the indices perform poorly. The notes are unsecured and unsubordinated obligations of JPMorgan Chase Financial Company LLC, with payments fully and unconditionally guaranteed by JPMorgan Chase & Co. The notes may be redeemed early at JPMorgan's discretion on specified interest payment dates, with the earliest possible redemption date being October 11, 2024. The offering includes a number of risks, as detailed in the 'Risk Factors' section of the accompanying prospectus supplement and product supplement.
摩根大通金融公司的全资子公司摩根大通公司宣布定价为274,000美元可赎回,与纳斯达克-100科技板块指数、罗素2000指数和标准普尔500指数表现相关的有条件利率票据,到期日为2027年7月13日。这种票据是为寻求基于指数表现的有条件利率支付的投资者而设计的,定价于2024年7月8日,预计于2024年7月11日或左右结算。如果任何审查日期时指数的收盘水平高于其初始值的60%,那么这些票据可为投资者提供利息支付的潜力。但是,如果指数表现不佳,投资者也承担部分或全部本金损失的风险。票据是摩根大通金融公司的无担保和非优先债务,由摩根大通公司全额和无条件担保支付。票据可能在指定的利息支付日由摩根大通自主决定提前赎回,最早的可能赎回日期是2024年10月11日。该发行包括多项风险,详见随附的招股说明书和产品补充说明的“风险因素”部分。
摩根大通金融公司的全资子公司摩根大通公司宣布定价为274,000美元可赎回,与纳斯达克-100科技板块指数、罗素2000指数和标准普尔500指数表现相关的有条件利率票据,到期日为2027年7月13日。这种票据是为寻求基于指数表现的有条件利率支付的投资者而设计的,定价于2024年7月8日,预计于2024年7月11日或左右结算。如果任何审查日期时指数的收盘水平高于其初始值的60%,那么这些票据可为投资者提供利息支付的潜力。但是,如果指数表现不佳,投资者也承担部分或全部本金损失的风险。票据是摩根大通金融公司的无担保和非优先债务,由摩根大通公司全额和无条件担保支付。票据可能在指定的利息支付日由摩根大通自主决定提前赎回,最早的可能赎回日期是2024年10月11日。该发行包括多项风险,详见随附的招股说明书和产品补充说明的“风险因素”部分。
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