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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  11/23 06:01

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On November 20, 2024, JPMorgan Chase Financial Company LLC announced the issuance of $1,455,000 Auto Callable Contingent Interest Notes linked to Verizon Communications Inc. stock, maturing on November 26, 2027. These notes offer contingent interest payments if Verizon's stock price meets specific criteria, with an 8.25% annual interest rate. Automatic call may occur if the stock price equals or exceeds the initial value on review dates, starting May 20, 2025.Investors face risks, including potential loss of principal and no guaranteed interest payments. The notes are unsecured, with payments subject to JPMorgan's credit risk. The estimated value of the notes is $955.30 per $1,000, lower than the issue price due to associated costs.The notes are not insured by the FDIC and are not bank deposits. They are designed for investors willing to accept risks for potential contingent interest payments, foregoing fixed interest and dividends.
On November 20, 2024, JPMorgan Chase Financial Company LLC announced the issuance of $1,455,000 Auto Callable Contingent Interest Notes linked to Verizon Communications Inc. stock, maturing on November 26, 2027. These notes offer contingent interest payments if Verizon's stock price meets specific criteria, with an 8.25% annual interest rate. Automatic call may occur if the stock price equals or exceeds the initial value on review dates, starting May 20, 2025.Investors face risks, including potential loss of principal and no guaranteed interest payments. The notes are unsecured, with payments subject to JPMorgan's credit risk. The estimated value of the notes is $955.30 per $1,000, lower than the issue price due to associated costs.The notes are not insured by the FDIC and are not bank deposits. They are designed for investors willing to accept risks for potential contingent interest payments, foregoing fixed interest and dividends.
在2024年11月20日,摩根大通金融公司有限公司宣佈發行145.5萬美元的自動可贖回條件利息票據,該票據與verizon通信公司股票掛鉤, 於2027年11月26日到期。這些票據在verizon股價滿足特定條件時提供條件利息支付,年利率爲8.25%。如果在評估日期,股價等於或超過初始價值,可能會自動贖回,評估日期從2025年5月20日開始。投資者面臨風險,包括本金潛在損失和沒有保證的利息支付。這些票據是無擔保的,支付取決於摩根大通的信用風險。這些票據的估計價值爲每1000美元955.30美元,低於發行價,因爲相關費用所導致的。這些票據不受FDIC保險保護,也不是銀行存款。它們是爲願意接受風險以獲得潛在條件利息支付的投資者設計的,放棄固定利息和分紅派息。
在2024年11月20日,摩根大通金融公司有限公司宣佈發行145.5萬美元的自動可贖回條件利息票據,該票據與verizon通信公司股票掛鉤, 於2027年11月26日到期。這些票據在verizon股價滿足特定條件時提供條件利息支付,年利率爲8.25%。如果在評估日期,股價等於或超過初始價值,可能會自動贖回,評估日期從2025年5月20日開始。投資者面臨風險,包括本金潛在損失和沒有保證的利息支付。這些票據是無擔保的,支付取決於摩根大通的信用風險。這些票據的估計價值爲每1000美元955.30美元,低於發行價,因爲相關費用所導致的。這些票據不受FDIC保險保護,也不是銀行存款。它們是爲願意接受風險以獲得潛在條件利息支付的投資者設計的,放棄固定利息和分紅派息。
声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息