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Notice of Amendment

12th Apr 2017 09:08

RNS Number : 3113C
JPMorgan Chase & Co
12 April 2017
 

From: JPMorgan Chase & Co. (as "Issuer")

270 Park Avenue

New York, New York 10017-2070

United States of America

 

To: The Holders of the Securities

 

Copy: The Bank of New York Mellon (as "Principal Programme Agent")

One Canada Square

London E14 5AL

United Kingdom

and

The Bank of New York Mellon SA/NV, Luxembourg Branch (as "Paying Agent" and "Transfer Agent")

Vertigo Building - Polaris

2-4 rue Eugène Ruppert

L-2453 Luxembourg

and

J.P. Morgan Securities plc (as "Calculation Agent", "Arranger" and "Dealer")

25 Bank Street, Canary Wharf

London E14 5JP

United Kingdom

 

12 April 2017

Amendment Notice

JPMorgan Chase & Co.

Issue of Securitiesunder Structured Products Programme for the issuance of Notes, Warrants and Certificates

Dear Sirs,

 

We refer to the pricing supplements (the "Pricing Supplements") in respect of the securities (the "Securities") as set out in the schedule hereto, each of which completes and amends the General Conditions and the Specific Product Provisions set out in the base prospectus dated 11 May 2012 and the offering circular dated 29 April 2014.

 

Terms that are not defined herein shall have the meanings attributed to them in the relevant Pricing Supplement.

 

Pursuant to General Condition 22.1(a) of the terms and conditions of the Securities, the Issuer has made the following amendment to the terms and conditions of the relevant Securities:

· to replace paragraph 18 of Part A (Contractual Terms) of each of the Pricing Supplements with the following:

 

18.

Early Payment Amount:

 

 

 

Early Payment Amount(s) payable on an event of default (General Condition 15) termination for illegality (General Condition 16) or redemption for taxation reasons (General Condition 17), and/or the method of calculating the same (if required or if different from that set out in the General Conditions):

The greater of:

(i) the amount as defined in the definition of "Early Payment Amount" in General Condition 30 (Definitions) or General Condition 30.1 (Definitions), as the case may be; and

(ii) the amount determined in accordance with General Condition 5.5 (Early Redemption of Zero Coupon Notes).

General Conditions 4.4 (Zero Coupon Notes) and 5.5 (Early Redemption of Zero Coupon Notes) are amended accordingly.

 

 

The amendment(s) described above are deemed to be effective for all purposes on the date hereof.

 

This Amendment Notice shall be governed by, and construed in accordance with, English law.

 

Yours faithfully

 

 

JPMORGAN CHASE & CO.(as Issuer)By:

 

54998647

 

Schedule

Details of the Securities

Name of Securities

Issue Date

ISIN

AUD 30,000,000 20 Year AUD Callable Zero-Coupon Note, due March 2033

8 March 2013

XS0897277827

USD 30,000,000 30 Year USD Callable Zero-Coupon Note, due June 2044

20 June 2014

XS1052080493

USD 100,000,000 30 Year USD Callable Zero-Coupon Note, due April 2044

29 April 2014

XS0978711322

USD 30,000,000 30 Year USD Callable Zero-Coupon Note, due February 2044

27 February 2014

XS0977473189

USD 50,000,000 15 Year USD Callable Zero-Coupon Note, due July 2027

26 July 2012

XS0809857112

 

This announcement has been issued through the Companies Announcement Service of

the Irish Stock Exchange.

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
ISEGGUMUCUPMURP

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