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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股SEC公告 ·  08/02 17:10

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JPMorgan Chase & Co. has announced the offering of Callable Fixed Rate Notes due August 16, 2044, with an interest rate of 5.50% per annum. These unsecured and unsubordinated obligations are subject to the credit risk of the issuer. The notes, which can be redeemed at the issuer's option on specified redemption dates beginning August 16, 2026, and ending on February 16, 2044, are available in minimum denominations of $1,000. The offering is part of a larger series of medium-term notes detailed in the prospectus and product supplements dated April 13, 2023. The pricing date is set for August 14, 2024, with the original issue date on August 16, 2024. The notes are not bank deposits, are not FDIC insured, and involve a number of risks, including the possibility of being called prior...Show More
JPMorgan Chase & Co. has announced the offering of Callable Fixed Rate Notes due August 16, 2044, with an interest rate of 5.50% per annum. These unsecured and unsubordinated obligations are subject to the credit risk of the issuer. The notes, which can be redeemed at the issuer's option on specified redemption dates beginning August 16, 2026, and ending on February 16, 2044, are available in minimum denominations of $1,000. The offering is part of a larger series of medium-term notes detailed in the prospectus and product supplements dated April 13, 2023. The pricing date is set for August 14, 2024, with the original issue date on August 16, 2024. The notes are not bank deposits, are not FDIC insured, and involve a number of risks, including the possibility of being called prior to the maturity date and credit risk associated with JPMorgan Chase & Co. The offering is detailed in a preliminary pricing supplement, which is subject to change and is not an offer to sell nor a solicitation of an offer to buy in any jurisdiction where such offer or sale is not permitted.
JPMorgan Chase&Co.宣布发行可赎回固定利率票据,到期日为2044年8月16日,年利率为5.50%。这些无担保无优先权的债务受到发行人的信用风险约束。票据可以在指定的赎回日期内由发行人选择赎回,出发日为2026年8月16日,结束日为2044年2月16日,并以1000美元的最低面额发行。该发行是大型中期票据系列的一部分,详细信息请参阅于2023年4月13日的招股说明书和产品补充文件。定价日期定于2024年8月14日,最初发行日期定于2024年8月16日。该票据不是银行存款,也没有FDIC保险,并涉及多种风险,包括有可能在到期日之前收回以及与JPMorgan Chase&Co.相关的信用风险。该发行在初步定价补充文件中详细说明,该文件可能会发生更改,并且不是在任何禁止发行或销售的司法管辖区内出售或购买的要约。
JPMorgan Chase&Co.宣布发行可赎回固定利率票据,到期日为2044年8月16日,年利率为5.50%。这些无担保无优先权的债务受到发行人的信用风险约束。票据可以在指定的赎回日期内由发行人选择赎回,出发日为2026年8月16日,结束日为2044年2月16日,并以1000美元的最低面额发行。该发行是大型中期票据系列的一部分,详细信息请参阅于2023年4月13日的招股说明书和产品补充文件。定价日期定于2024年8月14日,最初发行日期定于2024年8月16日。该票据不是银行存款,也没有FDIC保险,并涉及多种风险,包括有可能在到期日之前收回以及与JPMorgan Chase&Co.相关的信用风险。该发行在初步定价补充文件中详细说明,该文件可能会发生更改,并且不是在任何禁止发行或销售的司法管辖区内出售或购买的要约。
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