JPMORGAN CHASE & CO. - Irish Stock Exchange
JPMORGAN CHASE & CO. - Irish Stock Exchange
JPMORGAN CHASE & CO. - Irish Stock Exchange
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(v) Issuer’s Option Period (if applicable): [Applicable/Not Applicable] (If applicable,<br />
give details)<br />
21. Investor Put [Applicable/Not Applicable] (If not<br />
applicable, delete the remaining subparagraphs<br />
of this paragraph)<br />
(i) Optional Redemption Date(s): [ ] per Calculation Amount<br />
(ii) Optional Redemption Amount(s) of each Note [ ] per Calculation Amount<br />
and method, if any, of calculation of such<br />
amount(s):<br />
(iii) Notice period: [ ]<br />
(N.B. If setting notice periods which are<br />
different to those provided in the<br />
Conditions, the Issuer is advised to consider<br />
the practicalities of distribution of<br />
information through intermediaries, for<br />
example, clearing systems and custodians,<br />
as well as any other notice requirements<br />
which may apply, for example, as between<br />
the Issuer and the Agent)<br />
(iv) Noteholders’ Option Period (if applicable): [Applicable/Not Applicable] (If applicable,<br />
give details)<br />
22. Final Redemption Amount of each Note<br />
In cases where the Final Redemption Amount is Index<br />
Linked or other variable-linked:<br />
[[ ] per Calculation Amount.<br />
(N.B. If the Final Redemption Amount is<br />
other than 100% of the nominal value the<br />
Notes will be derivative securities for the<br />
purposes of the Prospectus Directive and<br />
the requirements of Annex XII to the<br />
Prospectus Directive Regulation will<br />
apply.)<br />
(i) Index/Formula/variable: [give or annex details]<br />
(ii)<br />
(iii)<br />
Calculation Agent responsible for calculating<br />
the Final Redemption Amount:<br />
Provisions for determining Final Redemption<br />
Amount where calculated by reference to<br />
Index and/or Formula and/or other variable:<br />
[JPMorgan Chase Bank National<br />
Association (acting through its London<br />
Branch) /specify other]<br />
[ ]<br />
(iv) Determination Date(s): [ ]<br />
(v)<br />
Provisions for determining Final Redemption<br />
Amount where calculation by reference to<br />
Index and/or Formula and/or other variable is<br />
impossible or impracticable or otherwise<br />
disrupted:<br />
[ ]<br />
(vi) Payment Date: [ ]<br />
(vii) Minimum Final Redemption Amount: [ ]<br />
(viii) Maximum Final Redemption Amount: [ ]<br />
23. Early Redemption Amount<br />
(i) Early Redemption Amount(s) of each Note<br />
payable on redemption on event of default (or<br />
[ ]<br />
(NB: for Credit Linked Notes, consider<br />
107