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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  07/26 17:14
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JPMorgan Chase Financial Company LLC announced the pricing of $1,972,000 Callable Contingent Interest Notes Linked to the Least Performing of the Nasdaq-100 Technology Sector Index, the Russell 2000 Index, and the S&P 500 Index, due July 29, 2027. The notes, fully and unconditionally guaranteed by JPMorgan Chase & Co., are designed for investors seeking a Contingent Interest Payment relative to the performance of the specified indices. The notes may be redeemed early, in whole but not in part, at JPMorgan's option on any of the Interest Payment Dates, with the earliest redemption date being October 29, 2024. Investors should be willing to forgo fixed interest and dividend payments for the opportunity to receive Contingent Interest Payments, and accept the risk of losing some or all of their principal. The notes are unsecured and unsubordinated obligations of JPMorgan Financial, subject to the credit risk of both JPMorgan Financial as issuer and JPMorgan Chase & Co. as guarantor. The notes priced on July 24, 2024, and are expected to settle on or about July 29, 2024.
JPMorgan Chase Financial Company LLC announced the pricing of $1,972,000 Callable Contingent Interest Notes Linked to the Least Performing of the Nasdaq-100 Technology Sector Index, the Russell 2000 Index, and the S&P 500 Index, due July 29, 2027. The notes, fully and unconditionally guaranteed by JPMorgan Chase & Co., are designed for investors seeking a Contingent Interest Payment relative to the performance of the specified indices. The notes may be redeemed early, in whole but not in part, at JPMorgan's option on any of the Interest Payment Dates, with the earliest redemption date being October 29, 2024. Investors should be willing to forgo fixed interest and dividend payments for the opportunity to receive Contingent Interest Payments, and accept the risk of losing some or all of their principal. The notes are unsecured and unsubordinated obligations of JPMorgan Financial, subject to the credit risk of both JPMorgan Financial as issuer and JPMorgan Chase & Co. as guarantor. The notes priced on July 24, 2024, and are expected to settle on or about July 29, 2024.
摩根大通金融公司宣布定价为1,972,000美元,到期日为2027年7月29日的可赎回的、条件性利率票据,与纳斯达克100科技板块指数、罗素2000指数和标普500指数中表现最弱的指数有关。这些票据由摩根大通公司全额无条件担保,旨在为寻求与指定指数表现有关的条件性利率付款相对于表现的投资者提供投资选择。这些票据可以在任何利息付款日期上由摩根大通公司选择全部但不分割地提前赎回,最早的赎回日期为2024年10月29日。投资者应愿意放弃固定的利息和股息支付以获得条件性利率付款的机会,并承担损失全部或部分本金的风险。这些票据是摩根金融的无抵押和非优先债务,受摩根金融作为发行人和摩根大通公司作为担保人的信用风险的影响。这些票据定价于2024年7月24日,预计将于2024年7月29日或前后结算。
摩根大通金融公司宣布定价为1,972,000美元,到期日为2027年7月29日的可赎回的、条件性利率票据,与纳斯达克100科技板块指数、罗素2000指数和标普500指数中表现最弱的指数有关。这些票据由摩根大通公司全额无条件担保,旨在为寻求与指定指数表现有关的条件性利率付款相对于表现的投资者提供投资选择。这些票据可以在任何利息付款日期上由摩根大通公司选择全部但不分割地提前赎回,最早的赎回日期为2024年10月29日。投资者应愿意放弃固定的利息和股息支付以获得条件性利率付款的机会,并承担损失全部或部分本金的风险。这些票据是摩根金融的无抵押和非优先债务,受摩根金融作为发行人和摩根大通公司作为担保人的信用风险的影响。这些票据定价于2024年7月24日,预计将于2024年7月29日或前后结算。
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