080305_JPM Series Fix and Win ... - Börse Stuttgart
080305_JPM Series Fix and Win ... - Börse Stuttgart
080305_JPM Series Fix and Win ... - Börse Stuttgart
Erfolgreiche ePaper selbst erstellen
Machen Sie aus Ihren PDF Publikationen ein blätterbares Flipbook mit unserer einzigartigen Google optimierten e-Paper Software.
Overview<br />
A09110530 AF 53<br />
GENERAL DESCRIPTION OF THE NOTES<br />
The information set out below provide a summary overview of the Notes. Such information should be read in<br />
conjunction with section "Specific Description of the Notes" <strong>and</strong> the Terms <strong>and</strong> Conditions set out below.<br />
Denominations<br />
The Notes will have such denominations as specified under section "Specific Description of the Notes".<br />
Interest<br />
Information on whether there will be any accrual of interest under the Notes <strong>and</strong>, in each case where applicable,<br />
the length of the interest periods for the Notes <strong>and</strong> the applicable interest rate or its method of calculation is set<br />
out under section " Specific Description of the Notes".<br />
Redemption/Instalment Payments<br />
The date of instalment/redemption payments of the Notes <strong>and</strong> the relevant amounts payable are specified under<br />
section "Specific Description of the Notes".<br />
Settlement<br />
The Notes will be settled as set out under section "Specific Description of the Notes".<br />
Status<br />
The Notes will constitute unsubordinated <strong>and</strong> unsecured obligations of the Issuer.<br />
Guarantee<br />
The Notes will be guaranteed by <strong>JPM</strong>CB. The text of the guarantee is set out under section "Form of<br />
Guarantee".<br />
Maturity<br />
The maturity of the Notes is set out under section "Specific Description of the Notes".<br />
Early Redemption<br />
Notes will be redeemable at the option of the Issuer prior to maturity for tax reasons <strong>and</strong> in other circumstances<br />
as specified under section "Specific Description of the Notes", if so specified therein.<br />
Early Redemption at the Option of the Issuer<br />
The Issuer may not redeem the Notes under any circumstances other than set out under section "Specific<br />
Description of the Notes".<br />
Noteholder’s Option<br />
The Notes will not be redeemable at the option of the Noteholder under any circumstances other than set out<br />
under section "Specific Description of the Notes".