JPMorgan Chase & Co. 5.5% Bond to Pay Semi-Annual Interest Until 2033
A corporate bond issued by JPMorgan Chase & Co., known as JPM5715761, has a coupon rate of 5.50%. This means that investors who hold this bond will receive an interest payment of 5.50% semi-annually.
The next interest payment is scheduled for December 21, 2026.
The bond's payments are based on the following schedule: every six months, starting from December 21, 2007, until the maturity date of December 21, 2033. The frequency of payments is semi-annual, and the interest rate remains constant at 5.50%.