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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股sec公告 ·  05/17 05:32
牛牛AI助理已提取核心訊息
JPMorgan Chase Financial Company LLC, a subsidiary of JPMorgan Chase & Co., has announced the issuance of Callable Contingent Interest Notes linked to the performance of the NASDAQ-100 Index, the Russell 2000 Index, and the S&P 500 Index, with a maturity date of May 22, 2029. The notes, which are designed for investors seeking contingent interest payments based on the indices' performance, are subject to an interest barrier of 70.00% of their initial value. The notes may be redeemed early at JPMorgan's discretion on specified interest payment dates, with the earliest possible redemption date being May 22, 2025. The notes are unsecured and unsubordinated obligations guaranteed by JPMorgan Chase & Co., with payments subject to the credit risk of both the issuer and the guarantor. The notes...Show More
JPMorgan Chase Financial Company LLC, a subsidiary of JPMorgan Chase & Co., has announced the issuance of Callable Contingent Interest Notes linked to the performance of the NASDAQ-100 Index, the Russell 2000 Index, and the S&P 500 Index, with a maturity date of May 22, 2029. The notes, which are designed for investors seeking contingent interest payments based on the indices' performance, are subject to an interest barrier of 70.00% of their initial value. The notes may be redeemed early at JPMorgan's discretion on specified interest payment dates, with the earliest possible redemption date being May 22, 2025. The notes are unsecured and unsubordinated obligations guaranteed by JPMorgan Chase & Co., with payments subject to the credit risk of both the issuer and the guarantor. The notes are expected to price on or about May 17, 2024, and settle on or about May 22, 2024. The offering includes risks detailed in the accompanying prospectus supplement and product supplement. The SEC has not approved or disapproved the notes, nor have they passed upon the accuracy or adequacy of the pricing supplement. The notes are not bank deposits and are not insured by any governmental agency.
摩根大通的子公司摩根大通金融公司有限責任公司宣佈發行與 NASDAQ-100 指數、羅素2000指數和標準普爾500指數表現掛鉤的可贖回或有利息票據,到期日爲2029年5月22日。這些票據專爲根據指數表現尋求或有利息支付的投資者而設計,其利息壁壘爲其初始價值的70.00%。摩根大通可自行決定在規定的利息支付日期提早贖回這些票據,最早的贖回日期爲2025年5月22日。這些票據是由摩根大通擔保的無抵押和非次級債務,付款受發行人和擔保人的信用風險的約束。這些票據預計將於2024年5月17日左右定價,並於2024年5月22日左右結算。本次發行包括隨附的招股說明書補充文件和產品補充文件中詳述的風險。美國證券交易委員會尚未批准或不批准這些票據,也沒有透露定價補充文件的準確性或充分性。這些票據不是銀行存款,也沒有由任何政府機構投保。
摩根大通的子公司摩根大通金融公司有限責任公司宣佈發行與 NASDAQ-100 指數、羅素2000指數和標準普爾500指數表現掛鉤的可贖回或有利息票據,到期日爲2029年5月22日。這些票據專爲根據指數表現尋求或有利息支付的投資者而設計,其利息壁壘爲其初始價值的70.00%。摩根大通可自行決定在規定的利息支付日期提早贖回這些票據,最早的贖回日期爲2025年5月22日。這些票據是由摩根大通擔保的無抵押和非次級債務,付款受發行人和擔保人的信用風險的約束。這些票據預計將於2024年5月17日左右定價,並於2024年5月22日左右結算。本次發行包括隨附的招股說明書補充文件和產品補充文件中詳述的風險。美國證券交易委員會尚未批准或不批准這些票據,也沒有透露定價補充文件的準確性或充分性。這些票據不是銀行存款,也沒有由任何政府機構投保。

譯文內容由第三人軟體翻譯。


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