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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 ·  05/03 17:12
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JPMorgan Chase Financial Company LLC, with JPMorgan Chase & Co. as the guarantor, has announced the offering of North America Structured Investments 1.92yrNC3m NDX/RTY/SPX Callable Contingent Interest Notes. These notes have a minimum denomination of $1,000 and are linked to the performance of the NASDAQ-100 Index, Russell 2000 Index, and S&P 500 Index. The pricing date is set for May 14, 2024, with a maturity date of April 17, 2026. The notes offer a contingent interest rate of 8.00% to 10.00% per annum, paid monthly, if certain conditions are met. JPMorgan may elect to redeem the notes early on specified dates, excluding the first, second, and final interest payment dates. The payment at maturity is contingent on the performance of the underlying indices, with the potential for investors...Show More
JPMorgan Chase Financial Company LLC, with JPMorgan Chase & Co. as the guarantor, has announced the offering of North America Structured Investments 1.92yrNC3m NDX/RTY/SPX Callable Contingent Interest Notes. These notes have a minimum denomination of $1,000 and are linked to the performance of the NASDAQ-100 Index, Russell 2000 Index, and S&P 500 Index. The pricing date is set for May 14, 2024, with a maturity date of April 17, 2026. The notes offer a contingent interest rate of 8.00% to 10.00% per annum, paid monthly, if certain conditions are met. JPMorgan may elect to redeem the notes early on specified dates, excluding the first, second, and final interest payment dates. The payment at maturity is contingent on the performance of the underlying indices, with the potential for investors to lose more than 30% of their principal if the final value of any underlying is less than its trigger value. The estimated value of the notes at the time of pricing will not be less than $900.00 per $1,000 principal amount note. Investors are warned of the credit risks associated with the issuer and guarantor, the potential for loss of principal, and the lack of guaranteed interest payments. The notes' value may fluctuate based on the market's view of the creditworthiness of the issuer and guarantor. The offering highlights several risks, including the limited appreciation potential, exposure to declines in the value of the underlyings, and the possibility of early redemption by the issuer.
以摩根大通爲擔保人的摩根大通金融公司有限責任公司宣佈發行北美結構性投資1.92yrnc3m NDX/RTY/SPX可贖回或有利息票據。這些票據的最低面額爲1,000美元,與 NASDAQ-100 指數、羅素2000指數和標準普爾500指數的表現掛鉤。定價日期定爲2024年5月14日,到期日爲2026年4月17日。這些票據提供的或有利率爲每年8.00%至10.00%,如果滿足某些條件,則按月支付。摩根大通可以選擇在指定日期提早贖回票據,不包括第一、第二和最後一次利息支付日期。到期時的付款取決於標的指數的表現,如果任何標的證券的最終價值低於其觸發價值,投資者可能會損失超過30%的本金。定價時票據的...展開全部
以摩根大通爲擔保人的摩根大通金融公司有限責任公司宣佈發行北美結構性投資1.92yrnc3m NDX/RTY/SPX可贖回或有利息票據。這些票據的最低面額爲1,000美元,與 NASDAQ-100 指數、羅素2000指數和標準普爾500指數的表現掛鉤。定價日期定爲2024年5月14日,到期日爲2026年4月17日。這些票據提供的或有利率爲每年8.00%至10.00%,如果滿足某些條件,則按月支付。摩根大通可以選擇在指定日期提早贖回票據,不包括第一、第二和最後一次利息支付日期。到期時的付款取決於標的指數的表現,如果任何標的證券的最終價值低於其觸發價值,投資者可能會損失超過30%的本金。定價時票據的估計價值將不低於每1,000美元本金票據900.00美元。投資者被警告注意與發行人和擔保人相關的信用風險、本金損失的可能性以及缺乏擔保利息支付。票據的價值可能會根據市場對發行人和擔保人信譽的看法而波動。此次發行凸顯了多種風險,包括升值潛力有限、標的資產價值下跌的風險以及發行人提前贖回的可能性。
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