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JPMORGAN CHASE & CO Capital/Financing Update 2002

Jun 3, 2002

10833_prs_2002-06-03_970fecac-d8a0-4da4-bb5d-82e608bfdca2.zip

Capital/Financing Update

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424B2 1 htm424b2141.htm 424(B)2 DATED 5/22/2002 (MTN FL"C" 141) Pricing Supp. New Chem MTN Ser A & C

Pricing Supplement No. 141L Dated May 22, 2002 (To Prospectus dated October 31, 2001 and Prospectus Supplement dated November 9, 2001) Rule 424(b)(2) File No's. 333-71876 CUSIP #: 46623E BC2

J.P. MORGAN CHASE & CO.

[X] Senior Medium-Term Notes, Series C Due From Nine Months to Thirty Years from Date of Issue
[ ] Subordinated Medium Term Notes, Series A Due From Nine Months to Thirty Years from Date of Issue

Principal Amount: Issue Price: Commission or Discount: Proceeds to Company $ 90,000,000 100% $ 90,000 $ 89,910,000

Agents Principal Amount To be Purchased
J.P. MORGAN SECURITIES INC. $ 88,200,000.00
HSBC Securities (USA) Inc. $ 900,000.00
Sandler O'Neill & Partners $ 900,000.00

Agents' Capacity: if as principal [ ] As agent [X] As principal

[ ] The Notes are being offered at varying prices relating to prevailing market prices at the time of sale. SEE BELOW
[ X] The Notes are being offered at a fixed initial public offering price equal to the Issue Price (as a percentage of Principal Amount).
Original Issue Date: June 4, 2002
Stated Maturity: June 4, 2004

Form: [ X ] Book-entry [_] Certificated

Currency: U.S. Dollars

[ ] Fixed Rate Note: [X] Floating Rate Note: CD [ ] Treasury Rate [ ] Commercial Paper Rate [ ] Prime Rate [ ] LIBOR Telerate [X] CMT [ ] LIBOR Reuters [ ]

Interest Payment Dates: Quarterly on each 4th or next good business day of September, December, March and June commencing with September 4, 2002. Interest Reset Dates: The 4th or next good business day of September, December, March and June commencing with September 4, 2002.

Index Maturity: 3 month LIBOR

Spread (+/-): +17 BP

Multiplier: Not Applicable

Maximum Interest Rate: Not Applicable Minimum Interest Rate: 0%

Optional Redemption: Yes [ ] No [X]