Issuer: JPMorgan Chase Financial Company LLC, a direct,
wholly owned finance subsidiary of JPMorgan Chase & Co.
Guarantor: JPMorgan Chase & Co.
Index: The MerQube US Large-Cap Vol Advantage Index
(Bloomberg ticker: MQUSLVA). The level of the Index reflects a
deduction of 6.0% per annum that accrues daily.
Contingent Interest Payments: If the notes have not been
automatically called and the closing level of the Index on any
Interest Review Date is greater than or equal to the Interest
Barrier, you will receive on the applicable Interest Payment
Date for each $1,000 principal amount note a Contingent
Interest Payment equal to $9.375 (equivalent to a Contingent
Interest Rate of 11.25% per annum, payable at a rate of
0.9375% per month).
If the closing level of the Index on any Interest Review Date is
less than the Interest Barrier, no Contingent Interest Payment
will be made with respect to that Interest Review Date.
Contingent Interest Rate: 11.25% per annum, payable at a
rate of 0.9375% per month
Interest Barrier: 70.00% of the Initial Value, which is 2,834.881
Trigger Value: 30.00% of the Initial Value, which is 1,214.949
Pricing Date: December 16, 2024
Original Issue Date (Settlement Date): On or about December
19, 2024
Interest Review Dates*: January 16, 2025, February 18, 2025,
March 17, 2025, April 16, 2025, May 16, 2025, June 16, 2025,
July 16, 2025, August 18, 2025, September 16, 2025, October
16, 2025, November 17, 2025, December 16, 2025, January 16,
2026, February 17, 2026, March 16, 2026, April 16, 2026, May
18, 2026, June 16, 2026, July 16, 2026, August 17, 2026,
September 16, 2026, October 16, 2026, November 16, 2026,
December 16, 2026, January 19, 2027, February 16, 2027,
March 16, 2027, April 16, 2027, May 17, 2027, June 16, 2027,
July 16, 2027, August 16, 2027, September 16, 2027, October
18, 2027, November 16, 2027, December 16, 2027, January 18,
2028, February 16, 2028, March 16, 2028, April 17, 2028, May
16, 2028, June 16, 2028, July 17, 2028, August 16, 2028,
September 18, 2028, October 16, 2028, November 16, 2028,
December 18, 2028, January 16, 2029, February 16, 2029,
March 16, 2029, April 16, 2029, May 16, 2029, June 18, 2029,
July 16, 2029, August 16, 2029, September 17, 2029, October
16, 2029, November 16, 2029 and December 17, 2029 (the
"final Review Date")
Autocall Review Dates*: December 16, 2025, March 16, 2026,
June 16, 2026, September 16, 2026, December 16, 2026,
March 16, 2027, June 16, 2027, September 16, 2027,
December 16, 2027, March 16, 2028, June 16, 2028,
September 18, 2028, December 18, 2028, March 16, 2029,
June 18, 2029 and September 17, 2029
Interest Payment Dates*: January 22, 2025, February 21,
2025, March 20, 2025, April 22, 2025, May 21, 2025, June 20,
2025, July 21, 2025, August 21, 2025, September 19, 2025,
October 21, 2025, November 20, 2025, December 19, 2025,
January 22, 2026, February 20, 2026, March 19, 2026, April 21,
2026, May 21, 2026, June 22, 2026, July 21, 2026, August 20,
2026, September 21, 2026, October 21, 2026, November 19,
2026, December 21, 2026, January 22, 2027, February 19,
2027, March 19, 2027, April 21, 2027, May 20, 2027, June 22,
2027, July 21, 2027, August 19, 2027, September 21, 2027,
October 21, 2027, November 19, 2027, December 21, 2027,
January 21, 2028, February 22, 2028, March 21, 2028, April 20,
2028, May 19, 2028, June 22, 2028, July 20, 2028, August 21,
2028, September 21, 2028, October 19, 2028, November 21,
2028, December 21, 2028, January 19, 2029, February 22,
2029, March 21, 2029, April 19, 2029, May 21, 2029, June 22,
2029, July 19, 2029, August 21, 2029, September 20, 2029,
October 19, 2029, November 21, 2029 and the Maturity Date
Maturity Date*: December 20, 2029
Call Settlement Date*: If the notes are automatically called on
any Autocall Review Date, the first Interest Payment Date
immediately following that Autocall Review Date
* Subject to postponement in the event of a market disruption event and
as described under "Supplemental Terms of the Notes -
Postponement of a Determination Date - Notes Linked Solely to an
Index" in the accompanying underlying supplement and "General Terms
of Notes - Postponement of a Payment Date" in the accompanying
product supplement