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OVERVIEW
DOCUMENTS
Issuer/Programme
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JPMorgan - Structured Products Programme for the issuance of Notes, Warrants and Certificates.
Secured Structured Securities Programme for the issuance of Notes, Warrants and Certificates
JPMorgan - Structured Products Programme for the issuance of Notes, Warrants and Certificates.
Securities
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15,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due October 2025
70,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due August 2025
70,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due May 2025
85,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due February 2026
2014-21641 Range Accrual Callable Note Linked to the Credit of Citigroup Inc, due December 2025
2016-7392 USD 10,000,000 Credit Linked Steepener Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Hutchison Whampoa Ltd, due December 2028
2016-7453 U.S.$10,000,000 Credit Linked Steepener Note linked to the USD 2-Year CMS Rate, USD 30-Year CMS Rate, 3-Month USD LIBOR and the credit of Singapore Telecommunications Ltd, due January 2029
2016-7841 U.S.$20,000,000 Credit Linked Interest Rate Range Accrual Note due June 2029
2016-7941 U.S.$10,000,000 Credit Linked Steepener Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of The Goldman Sachs Group, Inc., due July 2029
2016-8068 U.S.$20,000,000 Credit Linked Range Accrual Note due September 2029
2016-8543 U.S.$20,000,000 Credit Linked Range Accrual Note due January 2030
2018-7818 U.S.$20,000,000 Credit Linked Interest Rate Range Accrual Note due June 2029.
Issue of 20,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due April 2025
Issue of 40,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due 2023
Issue of 70,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due November 2025
Series 2013-14286 Issue of USD10000000 Callable CMS Spread Steepener Notes due Janaury 2029
Series 2016 - 6924 HKD 200,000,000 Credit Linked Note linked to the 3-Month HKD HIBOR and the credit of Credit Suisse Group AG, due January 2028
Series 2016 - 6926 U.S.$ 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Commerzbank AG, due February 2028
Series 2016 - 6928 USD 20,000,000 Index Linked and Credit Linked Notes linked to the J.P. Morgan Meridian Index and the credit of Standard Chartered PLC, due February 2028
Series 2016-6340 USD 10,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate and the credit of the Goldman Sachs Group Inc., due April 2027
Series 2016-6364 U.S.$ 10,000,000 Credit Linked Note linked to the 3-Month USD LIBOR, the USD 2-Year CMS Rate, the USD 10-Year CMS Rate, the USD 30-Year CMS Rate and the credit of BNP Paribas S.A., due May 2030
Series 2016-6458 USD 20,000,000 10 Year USD Index Linked and Credit Linked Notes linked to the J.P. Morgan Income and Momentum Index and the credit of Goldman Sachs Group., Inc due June 2027
Series 2016-6625 USD 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30- Year CMS Rate, the 3-Month USD LIBOR and the credit of Goldman Sachs Group, Inc., due October 2027
Series 2016-6652 USD 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Credit Suisse Group AG, due November 2027
Series 2016-6684 U.S.$ 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of the Republic of Korea, due November 2027
Series 2016-6749 USD 10,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate and the credit of Deutsche Bank AG, due November 2027
Series 2016-6941 USD 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Lloyds Bank plc, due March 2028
Series 2016-7270 U.S.$20,000,000 Index Linked and Credit Linked Note linked to the J.P. Morgan Mozaic Weekly Series X Index (USD) and the credit of Lloyds Banking Group plc, due September 2028
Series 2016-7596 U.S.$10,000,000 Credit Linked Range Accrual Note linked to the USD 2-Year CMS Rate, USD 30-Year CMS Rate, 3-Month USD LIBOR and the credit of Citigroup Inc, due March 2029
Series 2016-7676 U.S.$20,000,000 Credit Linked Range Accrual Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of National Australia Bank Ltd.
Series 2016-8508 U.S. $20,000,000 Credit Linked Range Accrual Note due December 2029
Series 2016-8553 U.S.$20,000,000 Credit Linked Range Accrual Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of The Goldman Sachs Group, Inc., due January 2030
Series 2020-01 Issue of JPY 340,000,000 Fixed Rate Notes linked to a Reference Bond issued by SoftBank Group Corp. due August 2027
Series 2021-10 Issue of 5,000 Notes linked to Montlake UCITS Platform ICAV – SHARP UCITS Fund and linked to a Reference Bond issued by BNP Paribas SA
Series 2022-25 Issue of Series 2022-25 USD 880,000 Floating Rate Notes linked to a Reference Bond issued by Arab Republic of Egypt due June 2025 (the "Securities")
Series 2025-04 EUR 30,000,000 Floating Rate Notes linked to €STR, due February 2028
Series 2025-05 Issue of EUR 100,000,000 Floating Rate Notes linked to €STR, due February 2028
U.S.D 10,000,000 Index Linked and Credit Linked Note linked to the J.P. Morgan MOZAIC Index due September 2026
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JPMorgan - Structured Products Programme for the issuance of Notes, Warrants and Certificates.
Secured Structured Securities Programme for the issuance of Notes, Warrants and Certificates
SECURITIES
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15,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due October 2025
70,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due August 2025
70,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due May 2025
85,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due February 2026
2014-21641 Range Accrual Callable Note Linked to the Credit of Citigroup Inc, due December 2025
2016-7392 USD 10,000,000 Credit Linked Steepener Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Hutchison Whampoa Ltd, due December 2028
2016-7453 U.S.$10,000,000 Credit Linked Steepener Note linked to the USD 2-Year CMS Rate, USD 30-Year CMS Rate, 3-Month USD LIBOR and the credit of Singapore Telecommunications Ltd, due January 2029
2016-7841 U.S.$20,000,000 Credit Linked Interest Rate Range Accrual Note due June 2029
2016-7941 U.S.$10,000,000 Credit Linked Steepener Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of The Goldman Sachs Group, Inc., due July 2029
2016-8068 U.S.$20,000,000 Credit Linked Range Accrual Note due September 2029
2016-8543 U.S.$20,000,000 Credit Linked Range Accrual Note due January 2030
2018-7818 U.S.$20,000,000 Credit Linked Interest Rate Range Accrual Note due June 2029.
Issue of 20,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due April 2025
Issue of 40,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due 2023
Issue of 70,000 Call Warrants linked to the Solactive Multi Anlage Stabil Index due November 2025
Series 2013-14286 Issue of USD10000000 Callable CMS Spread Steepener Notes due Janaury 2029
Series 2016 - 6924 HKD 200,000,000 Credit Linked Note linked to the 3-Month HKD HIBOR and the credit of Credit Suisse Group AG, due January 2028
Series 2016 - 6926 U.S.$ 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Commerzbank AG, due February 2028
Series 2016 - 6928 USD 20,000,000 Index Linked and Credit Linked Notes linked to the J.P. Morgan Meridian Index and the credit of Standard Chartered PLC, due February 2028
Series 2016-6340 USD 10,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate and the credit of the Goldman Sachs Group Inc., due April 2027
Series 2016-6364 U.S.$ 10,000,000 Credit Linked Note linked to the 3-Month USD LIBOR, the USD 2-Year CMS Rate, the USD 10-Year CMS Rate, the USD 30-Year CMS Rate and the credit of BNP Paribas S.A., due May 2030
Series 2016-6458 USD 20,000,000 10 Year USD Index Linked and Credit Linked Notes linked to the J.P. Morgan Income and Momentum Index and the credit of Goldman Sachs Group., Inc due June 2027
Series 2016-6625 USD 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30- Year CMS Rate, the 3-Month USD LIBOR and the credit of Goldman Sachs Group, Inc., due October 2027
Series 2016-6652 USD 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Credit Suisse Group AG, due November 2027
Series 2016-6684 U.S.$ 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of the Republic of Korea, due November 2027
Series 2016-6749 USD 10,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate and the credit of Deutsche Bank AG, due November 2027
Series 2016-6941 USD 20,000,000 Credit Linked Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of Lloyds Bank plc, due March 2028
Series 2016-7270 U.S.$20,000,000 Index Linked and Credit Linked Note linked to the J.P. Morgan Mozaic Weekly Series X Index (USD) and the credit of Lloyds Banking Group plc, due September 2028
Series 2016-7596 U.S.$10,000,000 Credit Linked Range Accrual Note linked to the USD 2-Year CMS Rate, USD 30-Year CMS Rate, 3-Month USD LIBOR and the credit of Citigroup Inc, due March 2029
Series 2016-7676 U.S.$20,000,000 Credit Linked Range Accrual Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of National Australia Bank Ltd.
Series 2016-8508 U.S. $20,000,000 Credit Linked Range Accrual Note due December 2029
Series 2016-8553 U.S.$20,000,000 Credit Linked Range Accrual Note linked to the USD 2-Year CMS Rate, the USD 30-Year CMS Rate, the 3-Month USD LIBOR and the credit of The Goldman Sachs Group, Inc., due January 2030
Series 2020-01 Issue of JPY 340,000,000 Fixed Rate Notes linked to a Reference Bond issued by SoftBank Group Corp. due August 2027
Series 2021-10 Issue of 5,000 Notes linked to Montlake UCITS Platform ICAV – SHARP UCITS Fund and linked to a Reference Bond issued by BNP Paribas SA
Series 2022-25 Issue of Series 2022-25 USD 880,000 Floating Rate Notes linked to a Reference Bond issued by Arab Republic of Egypt due June 2025 (the "Securities")
Series 2025-04 EUR 30,000,000 Floating Rate Notes linked to €STR, due February 2028
Series 2025-05 Issue of EUR 100,000,000 Floating Rate Notes linked to €STR, due February 2028
U.S.D 10,000,000 Index Linked and Credit Linked Note linked to the J.P. Morgan MOZAIC Index due September 2026
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