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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  2024/12/31 14:26

Moomoo AI 已提取核心訊息

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.
蒙特利爾銀行發行了面值爲120.1萬美元的可自動贖回障礙票據,到期日爲2027年7月2日。這些票據與納斯達克100科技板塊指數、標普500指數和公用事業精選行業指數ETF-SPDR的表現相關聯。如果每個基礎資產在到期時收盤價達到或超過其初始水平的60%,則票據提供0.6725%的有條件月息(年化8.07%)。自2025年3月起,如果所有資產在任何一個月的觀察日期收盤價高於其初始水平,這些票據將被自動贖回。如果未被贖回且在到期時沒有任何資產的收盤價低於其初始水平的50%,投資者將收到全額本金。否則,投資者將面臨根據表現最差的資產1:1的損失。BMO資本市場是此次發行的銷售代理。這些票據涉及風險,包括潛在的本金損失,並且受到蒙特利爾銀行的信用風險影響。投資者在投資前應仔細考慮相關條款和風險。
蒙特利爾銀行發行了面值爲120.1萬美元的可自動贖回障礙票據,到期日爲2027年7月2日。這些票據與納斯達克100科技板塊指數、標普500指數和公用事業精選行業指數ETF-SPDR的表現相關聯。如果每個基礎資產在到期時收盤價達到或超過其初始水平的60%,則票據提供0.6725%的有條件月息(年化8.07%)。自2025年3月起,如果所有資產在任何一個月的觀察日期收盤價高於其初始水平,這些票據將被自動贖回。如果未被贖回且在到期時沒有任何資產的收盤價低於其初始水平的50%,投資者將收到全額本金。否則,投資者將面臨根據表現最差的資產1:1的損失。BMO資本市場是此次發行的銷售代理。這些票據涉及風險,包括潛在的本金損失,並且受到蒙特利爾銀行的信用風險影響。投資者在投資前應仔細考慮相關條款和風險。
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