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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股SEC公告 ·  11/22 15:35

Moomoo AI 已提取核心信息

On November 20, 2024, JPMorgan Chase Financial Company LLC announced the issuance of $747,000 Callable Contingent Interest Notes linked to the Nasdaq-100, Russell 2000, and S&P 500 indices, maturing on November 26, 2029. These notes offer contingent interest payments if each index's closing level is at least 70% of its initial value. Early redemption is possible from November 25, 2025.The notes are unsecured, with payments subject to the credit risk of JPMorgan Financial and JPMorgan Chase & Co. Investors face potential loss of principal and may not receive any interest payments. The estimated value of the notes is $932.90 per $1,000 principal amount, lower than the original issue price due to associated costs.Investors should consider risks, including credit risks and potential conflicts of interest, as detailed in the accompanying prospectus and supplements.
On November 20, 2024, JPMorgan Chase Financial Company LLC announced the issuance of $747,000 Callable Contingent Interest Notes linked to the Nasdaq-100, Russell 2000, and S&P 500 indices, maturing on November 26, 2029. These notes offer contingent interest payments if each index's closing level is at least 70% of its initial value. Early redemption is possible from November 25, 2025.The notes are unsecured, with payments subject to the credit risk of JPMorgan Financial and JPMorgan Chase & Co. Investors face potential loss of principal and may not receive any interest payments. The estimated value of the notes is $932.90 per $1,000 principal amount, lower than the original issue price due to associated costs.Investors should consider risks, including credit risks and potential conflicts of interest, as detailed in the accompanying prospectus and supplements.
2024年11月20日,摩根大通金融公司宣布发行747,000美元的可赎回或有条件利息票据,该票据与纳斯达克100、罗素2000和标准普尔500指数挂钩,届满于2029年11月26日。这些票据在每个指数收盘水平至少为其初始值的70%时提供有条件利息支付。提前赎回可以从2025年11月25日开始。这些票据是无担保的,支付取决于摩根大通金融和摩根大通公司的信用风险。投资者面临可能的本金损失,可能无法获得任何利息支付。票据的估计价值为每1,000美元本金金额932.90美元,这低于由于相关成本产生的原始发行价格。投资者应考虑风险,包括信用风险和潜在的利益冲突,详细内容请参见附带的招股说明书和补充材料。
2024年11月20日,摩根大通金融公司宣布发行747,000美元的可赎回或有条件利息票据,该票据与纳斯达克100、罗素2000和标准普尔500指数挂钩,届满于2029年11月26日。这些票据在每个指数收盘水平至少为其初始值的70%时提供有条件利息支付。提前赎回可以从2025年11月25日开始。这些票据是无担保的,支付取决于摩根大通金融和摩根大通公司的信用风险。投资者面临可能的本金损失,可能无法获得任何利息支付。票据的估计价值为每1,000美元本金金额932.90美元,这低于由于相关成本产生的原始发行价格。投资者应考虑风险,包括信用风险和潜在的利益冲突,详细内容请参见附带的招股说明书和补充材料。
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