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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股SEC公告 ·  05:09
牛牛AI助理已提取核心訊息
JPMorgan Chase Financial Company LLC, a wholly owned subsidiary of JPMorgan Chase & Co., has announced the issuance of Medium-Term Notes, Series A, called Autocallable Enhanced Participation Equity Notes due 2027, linked to the Nasdaq-100 Index. The notes, which do not bear interest, have a maturity date of October 6, 2027, with the possibility of being automatically called on October 10, 2025, or October 2, 2026. The notes' return is based on the performance of the Nasdaq-100 Index, with a capped maximum payment if called on a call observation date. The call premium amount is expected to be between 8.76% and 10.27% for the first call observation date and between 17.52% and 20.54% for the second. If not automatically called and the final underlier level on the determination date (October 4, 2027) is...Show More
JPMorgan Chase Financial Company LLC, a wholly owned subsidiary of JPMorgan Chase & Co., has announced the issuance of Medium-Term Notes, Series A, called Autocallable Enhanced Participation Equity Notes due 2027, linked to the Nasdaq-100 Index. The notes, which do not bear interest, have a maturity date of October 6, 2027, with the possibility of being automatically called on October 10, 2025, or October 2, 2026. The notes' return is based on the performance of the Nasdaq-100 Index, with a capped maximum payment if called on a call observation date. The call premium amount is expected to be between 8.76% and 10.27% for the first call observation date and between 17.52% and 20.54% for the second. If not automatically called and the final underlier level on the determination date (October 4, 2027) is greater than or equal to the initial level, investors will receive a cash payment equal to $1,000 plus a premium. However, if the final underlier level declines by more than 32.00% from the initial level, investors could lose their entire investment. The notes are subject to the credit risk of both JPMorgan Chase Financial Company LLC and JPMorgan Chase & Co. The estimated value of the notes will be provided in the final pricing supplement and is expected to be between $953.80 and $963.80 per $1,000 principal amount note. The notes are scheduled for issuance around October 9, 2024, with J.P. Morgan Securities LLC acting as the agent and paying selling commissions to an unaffiliated dealer. The notes are not FDIC insured, not bank deposits, nor are they guaranteed by a bank.
摩根大通金融公司有限責任公司(JPMorgan Chase Financial Company LLC)是摩根大通銀行(JPMorgan Chase & Co.)全資子公司,宣佈發行到期日爲2027 年的中期票據系列A,稱爲與納斯達克100指數掛鉤的可調參增強權益票據。這些票據不帶利息,到期日爲2027年10月6日,可能會在2025年10月10日或2026年10月2日自動贖回。票據的回報基於納斯達克100指數的表現,如果在贖回觀察日贖回,則最高支付額受限。第一次贖回觀察日的贖回溢價金額預計在8.76%至10.27%之間,第二次則在17.52%至20.54%之間。如果沒有被自動贖回,並且決定日(...展開全部
摩根大通金融公司有限責任公司(JPMorgan Chase Financial Company LLC)是摩根大通銀行(JPMorgan Chase & Co.)全資子公司,宣佈發行到期日爲2027 年的中期票據系列A,稱爲與納斯達克100指數掛鉤的可調參增強權益票據。這些票據不帶利息,到期日爲2027年10月6日,可能會在2025年10月10日或2026年10月2日自動贖回。票據的回報基於納斯達克100指數的表現,如果在贖回觀察日贖回,則最高支付額受限。第一次贖回觀察日的贖回溢價金額預計在8.76%至10.27%之間,第二次則在17.52%至20.54%之間。如果沒有被自動贖回,並且決定日(2027年10月4日)的最終基礎資產水平大於或等於初始水平,則投資者將收到等於1000美元加溢價的現金支付。然而,如果最終基礎資產水平比初始水平下降超過32.00%,投資者可能會損失全部投資。這些票據受到摩根大通金融公司有限責任公司和摩根大通銀行的信用風險。票據的預估價值將在最終定價補充文件中提供,預計爲每1000美元本金票據953.80美元至963.80美元之間。這些票據計劃於2024年10月9日左右發行,由摩根大通證券有限責任公司擔任代理人,並向一個非關聯交易商支付銷售佣金。這些票據不受聯邦存款保險公司(FDIC)保險,不屬於銀行存款,也不受銀行擔保。

譯文內容由第三人軟體翻譯。


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以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。