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JP MORGAN STRUCTURED PRODUCTS B.V. - JPM003 Early Redemption

Release Date: 05/10/2026 15:01
Code(s): JPM003     PDF:  
Wrap Text
JPM003 Early Redemption 

            J.P. MORGAN STRUCTURED PRODUCTS B.V. (incorporated with limited liability
            in The Netherlands)
            (the “Issuer”)
            Issuer code: JPMSI
            Bond code: JPM003         ISIN: ZAG000224288
            JPMorgan Chase Bank, N.A. (as Guarantor)


            EARLY REDEMPTION OF THE JMP003 NOTES


            In accordance with the Terms and Conditions of the J.P. Morgan Structured
            Products B.V. Structured Products Programme for the issuance of Notes,
            Warrants and Certificates – JPMSI, noteholders are herewith advised of the
            full capital redemption with payment date, effective, 20 October 2026.


                   Bond Code          ISIN Number             Capital Redemption Amount
                     JPM003          ZAG000224288               R105 400 000.00




            05 October 2026


            The Debt Sponsor
            The Standard Bank of South Africa Limited





Date: 05/10/2026 03:01:00
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