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FWP: Filing under Securities Act Rules 163/433 of free writing prospectuses

FWP: Filing under Securities Act Rules 163/433 of free writing prospectuses

FWP:自由书写募资说明书
美股sec公告 ·  17:07
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JPMorgan Chase Financial Company LLC, with JPMorgan Chase & Co. as the guarantor, has announced the offering of Callable Contingent Interest Notes linked to the Russell 2000 Index, S&P 500 Index, and EURO STOXX 50 Index. The notes have a minimum denomination of $1,000 and feature a contingent interest rate of at least 9.00% per annum, payable quarterly if applicable. The pricing date is set for August 6, 2024, with a final review date on August 6, 2027, and maturity date on August 11, 2027. The notes include an early redemption option by the issuer on certain interest payment dates and a payment at maturity that is contingent on the performance of the least performing index among the three indices. The estimated value of the notes at the time of setting...Show More
JPMorgan Chase Financial Company LLC, with JPMorgan Chase & Co. as the guarantor, has announced the offering of Callable Contingent Interest Notes linked to the Russell 2000 Index, S&P 500 Index, and EURO STOXX 50 Index. The notes have a minimum denomination of $1,000 and feature a contingent interest rate of at least 9.00% per annum, payable quarterly if applicable. The pricing date is set for August 6, 2024, with a final review date on August 6, 2027, and maturity date on August 11, 2027. The notes include an early redemption option by the issuer on certain interest payment dates and a payment at maturity that is contingent on the performance of the least performing index among the three indices. The estimated value of the notes at the time of setting terms will be no less than $940.00 per $1,000 principal amount note. Investors are warned that the notes carry the credit risk of both the issuer and the guarantor, and there is no guarantee of principal return or interest payments. The notes' appreciation potential is capped at the sum of any contingent interest payments, and they are subject to market, credit, and other risks as detailed in the prospectus supplement and other offering documents.
JPMorgan Chase金融公司LLC宣布推出可召回的关联拉塞尔2000指数、标普500指数和欧元50指数的条件付息票据,JPMorgan Chase & Co.为保证人。票据的最低票面金额为1000美元,如果适用,具有至少9.00%的有条件利率,每季度支付。定价日为2024年8月6日,最后审查日期为2027年8月6日,到期日为2027年8月11日。票据包括在某些利息支付日期由发行人行使的提前赎回选择和在三项指数中表现最差的指数表现有关的到期支付选项。在规定条款设定时,票据的预估价值不得低于1000美元本金票据的940.00美元。投资者应注意,该票据承担发行人和保证人的信用风险,不能保证本金回报或利息支付。票据的升值潜力被限制在任何有条件利息支付的总和上,并且受到市场、信用和其他风险的约束,详见招股书补充和其他发售文件。
JPMorgan Chase金融公司LLC宣布推出可召回的关联拉塞尔2000指数、标普500指数和欧元50指数的条件付息票据,JPMorgan Chase & Co.为保证人。票据的最低票面金额为1000美元,如果适用,具有至少9.00%的有条件利率,每季度支付。定价日为2024年8月6日,最后审查日期为2027年8月6日,到期日为2027年8月11日。票据包括在某些利息支付日期由发行人行使的提前赎回选择和在三项指数中表现最差的指数表现有关的到期支付选项。在规定条款设定时,票据的预估价值不得低于1000美元本金票据的940.00美元。投资者应注意,该票据承担发行人和保证人的信用风险,不能保证本金回报或利息支付。票据的升值潜力被限制在任何有条件利息支付的总和上,并且受到市场、信用和其他风险的约束,详见招股书补充和其他发售文件。
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