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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:自由書寫募資說明書
美股SEC公告 ·  08/05 16:58

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JPMorgan Chase Financial Company LLC, with JPMorgan Chase & Co. as the guarantor, has announced the offering of notes linked to the Russell 2000 Index, SPDR S&P Bank ETF, and Financial Select Sector SPDR Fund. The notes have a minimum denomination of $1,000 and feature a contingent interest rate of at least 10.75% per annum, payable quarterly if applicable. The pricing date is set for August 5, 2024, with a maturity date of August 9, 2029. 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 underlying. The estimated value of the notes at the time of setting their terms will be no less than $950.00 per $1,000 principal...Show More
JPMorgan Chase Financial Company LLC, with JPMorgan Chase & Co. as the guarantor, has announced the offering of notes linked to the Russell 2000 Index, SPDR S&P Bank ETF, and Financial Select Sector SPDR Fund. The notes have a minimum denomination of $1,000 and feature a contingent interest rate of at least 10.75% per annum, payable quarterly if applicable. The pricing date is set for August 5, 2024, with a maturity date of August 9, 2029. 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 underlying. The estimated value of the notes at the time of setting their terms will be no less than $950.00 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 limited, and they are subject to market, management, and industry risks. Secondary market liquidity may be limited, and the tax consequences of the investment may be uncertain.
JP摩根大通金融有限責任公司(由根大通公司作爲擔保)宣佈發行與羅素2000指數、SPDR S&P銀行ETF和SPDR金融行業ETF掛鉤的票據。票面金額最低爲1,000美元,具有至少10.75%的有條件利率,如果適用則每季度支付。定價日期爲2024年8月5日,到期日期爲2029年8月9日。票據包括髮行人在某些利息支付日的提前贖回選項和在票據最差表現的基礎資產表現的收益。在設置票據條款時,票據的預估價值將不低於每1,000美元本金票據的950.00美元。投資者應當注意,票據承擔發行人和擔保人的信用風險,不能保證本金和利息的回報。票據的升值潛力有限,並且受到市場、管理和行業風險的影響。二級市場流動性可能有限,投資的稅收後果可能不確定。
JP摩根大通金融有限責任公司(由根大通公司作爲擔保)宣佈發行與羅素2000指數、SPDR S&P銀行ETF和SPDR金融行業ETF掛鉤的票據。票面金額最低爲1,000美元,具有至少10.75%的有條件利率,如果適用則每季度支付。定價日期爲2024年8月5日,到期日期爲2029年8月9日。票據包括髮行人在某些利息支付日的提前贖回選項和在票據最差表現的基礎資產表現的收益。在設置票據條款時,票據的預估價值將不低於每1,000美元本金票據的950.00美元。投資者應當注意,票據承擔發行人和擔保人的信用風險,不能保證本金和利息的回報。票據的升值潛力有限,並且受到市場、管理和行業風險的影響。二級市場流動性可能有限,投資的稅收後果可能不確定。
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