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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 ·  01/03 12:37

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Bank of Montreal is offering Senior Medium-Term Notes, Series I Digital Return Barrier Notes due February 09, 2026. The notes are linked to the least performing of the Utilities Select Sector SPDR® Fund, Russell 2000® Index, and S&P 500® Index. They offer a potential 9.65% digital return if the least performing asset's final level is at least 70% of its initial level.Investors face full downside exposure if the least performing asset declines by more than 30%. The notes have a minimum denomination of $1,000 and do not bear interest. All payments are subject to Bank of Montreal's credit risk.BMO Capital Markets Corp. is the agent for this offering. The estimated initial value is $989.80 per $1,000 principal amount. The notes involve risks including potential loss of principal and are not equivalent to a direct investment in the reference assets.
Bank of Montreal is offering Senior Medium-Term Notes, Series I Digital Return Barrier Notes due February 09, 2026. The notes are linked to the least performing of the Utilities Select Sector SPDR® Fund, Russell 2000® Index, and S&P 500® Index. They offer a potential 9.65% digital return if the least performing asset's final level is at least 70% of its initial level.Investors face full downside exposure if the least performing asset declines by more than 30%. The notes have a minimum denomination of $1,000 and do not bear interest. All payments are subject to Bank of Montreal's credit risk.BMO Capital Markets Corp. is the agent for this offering. The estimated initial value is $989.80 per $1,000 principal amount. The notes involve risks including potential loss of principal and are not equivalent to a direct investment in the reference assets.
蒙特利爾銀行正在提供高級中期票據,I系列數字回報障礙票據,截止日期爲2026年2月9日。該票據與公用事業選擇板塊SPDR®基金、羅素2000®指數和S&P 500®指數中表現最差的資產掛鉤。如果表現最差的資產最終水平至少爲其初始水平的70%,則提供最高9.65%的數字回報。如果表現最差的資產下跌超過30%,投資者面臨全部的下行風險。該票據最低面值爲$1,000,不計利息。所有付款均受蒙特利爾銀行信用風險的影響。BMO資本市場CORP是此次發行的代理。估算初始價值爲每$1,000本金金額$989.80。該票據涉及風險,包括本金潛在損失,並不等同於對參考資產的直接投資。
蒙特利爾銀行正在提供高級中期票據,I系列數字回報障礙票據,截止日期爲2026年2月9日。該票據與公用事業選擇板塊SPDR®基金、羅素2000®指數和S&P 500®指數中表現最差的資產掛鉤。如果表現最差的資產最終水平至少爲其初始水平的70%,則提供最高9.65%的數字回報。如果表現最差的資產下跌超過30%,投資者面臨全部的下行風險。該票據最低面值爲$1,000,不計利息。所有付款均受蒙特利爾銀行信用風險的影響。BMO資本市場CORP是此次發行的代理。估算初始價值爲每$1,000本金金額$989.80。該票據涉及風險,包括本金潛在損失,並不等同於對參考資產的直接投資。
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