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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股SEC公告 ·  2024/12/31 12:26

Moomoo AI 已提取核心信息

Bank of Montreal has issued $1.201 million in Autocallable Barrier Notes due July 2, 2027. The notes are linked to the performance of the Nasdaq-100 Technology Sector Index, S&P 500 Index, and Utilities Select Sector SPDR Fund.The notes offer a contingent monthly coupon of 0.6725% (8.07% per annum) if each underlying asset closes at or above 60% of its initial level. Starting March 2025, the notes will be automatically redeemed if all assets close above their initial levels on any monthly observation date. If not called and no asset closes below 50% of its initial level at maturity, investors receive full principal. Otherwise, investors face 1:1 losses based on the worst-performing asset.BMO Capital Markets is the selling agent for this offering. The notes involve risks including potential loss of principal and are subject to Bank of Montreal's credit risk. Investors should carefully consider the terms and risks before investing.
Bank of Montreal has issued $1.201 million in Autocallable Barrier Notes due July 2, 2027. The notes are linked to the performance of the Nasdaq-100 Technology Sector Index, S&P 500 Index, and Utilities Select Sector SPDR Fund.The notes offer a contingent monthly coupon of 0.6725% (8.07% per annum) if each underlying asset closes at or above 60% of its initial level. Starting March 2025, the notes will be automatically redeemed if all assets close above their initial levels on any monthly observation date. If not called and no asset closes below 50% of its initial level at maturity, investors receive full principal. Otherwise, investors face 1:1 losses based on the worst-performing asset.BMO Capital Markets is the selling agent for this offering. The notes involve risks including potential loss of principal and are subject to Bank of Montreal's credit risk. Investors should carefully consider the terms and risks before investing.
蒙特利尔银行发行了面值为120.1万美元的可自动赎回障碍票据,到期日为2027年7月2日。这些票据与纳斯达克100科技板块指数、标普500指数和公用事业精选行业指数ETF-SPDR的表现相关联。如果每个基础资产在到期时收盘价达到或超过其初始水平的60%,则票据提供0.6725%的有条件月息(年化8.07%)。自2025年3月起,如果所有资产在任何一个月的观察日期收盘价高于其初始水平,这些票据将被自动赎回。如果未被赎回且在到期时没有任何资产的收盘价低于其初始水平的50%,投资者将收到全额本金。否则,投资者将面临根据表现最差的资产1:1的损失。BMO资本市场是此次发行的销售代理。这些票据涉及风险,包括潜在的本金损失,并且受到蒙特利尔银行的信用风险影响。投资者在投资前应仔细考虑相关条款和风险。
蒙特利尔银行发行了面值为120.1万美元的可自动赎回障碍票据,到期日为2027年7月2日。这些票据与纳斯达克100科技板块指数、标普500指数和公用事业精选行业指数ETF-SPDR的表现相关联。如果每个基础资产在到期时收盘价达到或超过其初始水平的60%,则票据提供0.6725%的有条件月息(年化8.07%)。自2025年3月起,如果所有资产在任何一个月的观察日期收盘价高于其初始水平,这些票据将被自动赎回。如果未被赎回且在到期时没有任何资产的收盘价低于其初始水平的50%,投资者将收到全额本金。否则,投资者将面临根据表现最差的资产1:1的损失。BMO资本市场是此次发行的销售代理。这些票据涉及风险,包括潜在的本金损失,并且受到蒙特利尔银行的信用风险影响。投资者在投资前应仔细考虑相关条款和风险。
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