JPMorgan Chase Bond Set for Redemption in 2041
JPMorgan Chase & Co.'s JPM6518856 bond is set for redemption on September 23, 2041. The bond has a coupon rate of 6.35% and a credit rating that remains undisclosed in the provided source. According to the TradingView profile, a bond redemption involves the complete repayment of the principal and any accrued interest.
The redemption details show the type of redemption, date, and amount. Additionally, the sinking fund schedule may impact decisions, particularly for callable bonds with sinking funds that can be redeemed early. The source provides access to key redemption data, including current and historical repurchases, but requires unlocking full data to view it.
For JPM6518856, the redemption schedule is as follows: September 23, 2041, with a minimum amount and price percentage not specified in the provided source. This information is crucial for investors considering bond purchases or sales around this time.