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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  08/05 17:00
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JPMorgan Chase Financial Company LLC, a wholly owned subsidiary of JPMorgan Chase & Co., has announced the offering of Callable Contingent Interest Notes, which are linked to the performance of the Russell 2000 Index, the SPDR S&P Bank ETF, and the Financial Select Sector SPDR Fund. The notes are designed to pay a contingent interest payment if each underlying index is above a specified interest barrier on the review dates. The notes, which are unsecured and unsubordinated obligations of JPMorgan Financial, are fully and unconditionally guaranteed by JPMorgan Chase & Co. The notes may be redeemed early at JPMorgan's discretion on any interest payment date, with the earliest possible redemption date being February 10, 2025. The notes are expected to price on or...Show More
JPMorgan Chase Financial Company LLC, a wholly owned subsidiary of JPMorgan Chase & Co., has announced the offering of Callable Contingent Interest Notes, which are linked to the performance of the Russell 2000 Index, the SPDR S&P Bank ETF, and the Financial Select Sector SPDR Fund. The notes are designed to pay a contingent interest payment if each underlying index is above a specified interest barrier on the review dates. The notes, which are unsecured and unsubordinated obligations of JPMorgan Financial, are fully and unconditionally guaranteed by JPMorgan Chase & Co. The notes may be redeemed early at JPMorgan's discretion on any interest payment date, with the earliest possible redemption date being February 10, 2025. The notes are expected to price on or about August 5, 2024, and settle on or about August 8, 2024. They carry risks, including the potential loss of principal, and are not bank deposits or insured by any governmental agency. The offering is detailed in an amended and restated preliminary pricing supplement, which supersedes the original dated August 5, 2024. The notes are not an offer to sell nor a solicitation to buy in any jurisdiction where the offer or sale is not permitted, and the Securities and Exchange Commission has not necessarily approved the notes.
摩根大通金融有限責任公司宣佈發行可贖回的有條件付息票據,該票據與羅素2000指數、SPDR S&P銀行ETF和spdr金融行業etf的表現相關。如果每個基礎指數在複審日期時都高於指定的利率障礙,則該票據被設計爲支付有條件的利息。該票據是無擔保和無次級責任的JPMorgan Financial的債務,由摩根大通公司全額和無條件擔保。該票據可以在任何利息支付日期由摩根大通自行決定提前贖回,最早的贖回日期爲2025年2月10日。票據預計在2024年8月5日前後定價,於2024年8月8日左右結算。它們具有風險,包括潛在的本金損失,並不是銀行存款或由任何政府機構保險。該發行在一份經修訂和重申的初步定價補充文件中詳細說明,該文件取代了2024年8月5日的原始定價文件。該票據不是在任何不允許發行或銷售的司法管轄區提供出售或詢問購買,並且證券交易委員會未必已經批准該票據。
摩根大通金融有限責任公司宣佈發行可贖回的有條件付息票據,該票據與羅素2000指數、SPDR S&P銀行ETF和spdr金融行業etf的表現相關。如果每個基礎指數在複審日期時都高於指定的利率障礙,則該票據被設計爲支付有條件的利息。該票據是無擔保和無次級責任的JPMorgan Financial的債務,由摩根大通公司全額和無條件擔保。該票據可以在任何利息支付日期由摩根大通自行決定提前贖回,最早的贖回日期爲2025年2月10日。票據預計在2024年8月5日前後定價,於2024年8月8日左右結算。它們具有風險,包括潛在的本金損失,並不是銀行存款或由任何政府機構保險。該發行在一份經修訂和重申的初步定價補充文件中詳細說明,該文件取代了2024年8月5日的原始定價文件。該票據不是在任何不允許發行或銷售的司法管轄區提供出售或詢問購買,並且證券交易委員會未必已經批准該票據。
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