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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  2024/12/31 10:16

Moomoo AI 已提取核心訊息

Bank of Montreal has issued $2,036,000 of Senior Medium-Term Notes, Series I Buffer Enhanced Return Notes due January 30, 2026, linked to the iShares MSCI EAFE ETF. The notes offer 200% leveraged upside potential capped at a 15% return, with 15% downside protection.The notes do not pay interest and are not listed on any exchange. At maturity, investors will receive the $1,000 principal amount plus 200% of any positive ETF return up to a maximum payment of $1,150 per $1,000 principal. If the ETF declines by more than 15%, investors will lose 1% for each 1% decline beyond 15%, with a maximum loss of 85%.BMO Capital Markets is acting as agent for the offering. The notes have an estimated initial value of $1,002.80 per $1,000 principal amount. Investors should note the credit risk of Bank of Montreal and carefully consider the risks before investing.
Bank of Montreal has issued $2,036,000 of Senior Medium-Term Notes, Series I Buffer Enhanced Return Notes due January 30, 2026, linked to the iShares MSCI EAFE ETF. The notes offer 200% leveraged upside potential capped at a 15% return, with 15% downside protection.The notes do not pay interest and are not listed on any exchange. At maturity, investors will receive the $1,000 principal amount plus 200% of any positive ETF return up to a maximum payment of $1,150 per $1,000 principal. If the ETF declines by more than 15%, investors will lose 1% for each 1% decline beyond 15%, with a maximum loss of 85%.BMO Capital Markets is acting as agent for the offering. The notes have an estimated initial value of $1,002.80 per $1,000 principal amount. Investors should note the credit risk of Bank of Montreal and carefully consider the risks before investing.
蒙特利爾銀行已發行203.6萬美元的高級中期票據,系列I緩衝增強回報票據,到期日爲2026年1月30日,與歐澳遠東指數ETF-iShares掛鉤。這些票據提供200%的槓桿上行潛力,回報 capped在15%,並提供15%的下行保護。票據不支付利息,且未在任何交易所上市。在到期時,投資者將獲得1,000美元的本金加上任意正的ETF回報的200%,最高支付爲每1,000美元本金1,150美元。如果ETF下跌超過15%,投資者將每超出15%的1%下跌損失1%,最大損失爲85%。BMO 資本市場作爲此次發行的代理。票據的初始估計價值爲每1,000美元本金1,002.80美元。投資者應注意蒙特利爾銀行的信用風險,並在投資前仔細考慮風險。
蒙特利爾銀行已發行203.6萬美元的高級中期票據,系列I緩衝增強回報票據,到期日爲2026年1月30日,與歐澳遠東指數ETF-iShares掛鉤。這些票據提供200%的槓桿上行潛力,回報 capped在15%,並提供15%的下行保護。票據不支付利息,且未在任何交易所上市。在到期時,投資者將獲得1,000美元的本金加上任意正的ETF回報的200%,最高支付爲每1,000美元本金1,150美元。如果ETF下跌超過15%,投資者將每超出15%的1%下跌損失1%,最大損失爲85%。BMO 資本市場作爲此次發行的代理。票據的初始估計價值爲每1,000美元本金1,002.80美元。投資者應注意蒙特利爾銀行的信用風險,並在投資前仔細考慮風險。
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