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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  2024/12/31 15:01

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Bank of Montreal has issued $1.05 billion in Contingent Risk Absolute Return Buffer Notes due January 3, 2028, linked to the S&P 500 Index. The notes offer 1-to-1 positive return based on S&P 500 appreciation, capped at 31.80%. If the index declines up to 20%, investors receive a positive return equal to the percentage decline, capped at 20%.For index declines exceeding 20%, investors lose 1% of principal for each 1% decline beyond 20%, with potential losses up to 80% of principal. The notes do not pay interest and are not listed on any exchange. BMOCM is the agent for this offering, with a 0.60% commission.The estimated initial value of the notes is $975.68 per $1,000 principal amount. All payments are subject to Bank of Montreal's credit risk. The notes will not be subject to conversion into common shares under the Canada Deposit Insurance Corporation Act.
Bank of Montreal has issued $1.05 billion in Contingent Risk Absolute Return Buffer Notes due January 3, 2028, linked to the S&P 500 Index. The notes offer 1-to-1 positive return based on S&P 500 appreciation, capped at 31.80%. If the index declines up to 20%, investors receive a positive return equal to the percentage decline, capped at 20%.For index declines exceeding 20%, investors lose 1% of principal for each 1% decline beyond 20%, with potential losses up to 80% of principal. The notes do not pay interest and are not listed on any exchange. BMOCM is the agent for this offering, with a 0.60% commission.The estimated initial value of the notes is $975.68 per $1,000 principal amount. All payments are subject to Bank of Montreal's credit risk. The notes will not be subject to conversion into common shares under the Canada Deposit Insurance Corporation Act.
蒙特利爾銀行發行了價值10.5億的應急風險絕對回報緩衝票據,到期日爲2028年1月3日,與標普500指數掛鉤。該票據根據標普500的升值提供1:1的正回報,回報上限爲31.80%。如果指數下降最多20%,投資者將獲得與下降百分比相等的正回報,回報上限爲20%。對於超過20%的指數下跌,投資者每超過1%的下跌損失將損失1%的本金,潛在損失可達80%的本金。該票據不支付利息,並且未在任何交易所上市。BMOCm是本次發行的代理,佣金爲0.60%。票據的初始估計價值爲每1000美元本金975.68美元。所有支付均受蒙特利爾銀行信用風險的影響。根據加拿大存款保險公司法,該票據不會轉爲普通股。
蒙特利爾銀行發行了價值10.5億的應急風險絕對回報緩衝票據,到期日爲2028年1月3日,與標普500指數掛鉤。該票據根據標普500的升值提供1:1的正回報,回報上限爲31.80%。如果指數下降最多20%,投資者將獲得與下降百分比相等的正回報,回報上限爲20%。對於超過20%的指數下跌,投資者每超過1%的下跌損失將損失1%的本金,潛在損失可達80%的本金。該票據不支付利息,並且未在任何交易所上市。BMOCm是本次發行的代理,佣金爲0.60%。票據的初始估計價值爲每1000美元本金975.68美元。所有支付均受蒙特利爾銀行信用風險的影響。根據加拿大存款保險公司法,該票據不會轉爲普通股。
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