Review Dates*: July 20, 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, December 17, 2029, January 16, 2030, February 19, 2030,
March 18, 2030, April 16, 2030, May 16, 2030, June 17, 2030, July
16, 2030, August 16, 2030, September 16, 2030, October 16, 2030,
November 18, 2030, December 16, 2030, January 16, 2031,
February 18, 2031, March 17, 2031, April 16, 2031, May 16, 2031,
June 16, 2031 and July 16, 2031 (final Review Date)
Call Settlement Dates*: July 23, 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,
December 20, 2029, January 22, 2030, February 22, 2030,
March 21, 2030, April 19, 2030, May 21, 2030, June 21, 2030,
July 19, 2030, August 21, 2030, September 19, 2030, October
21, 2030, November 21, 2030, December 19, 2030, January 22,
2031, February 21, 2031, March 20, 2031, April 21, 2031, May
21, 2031, June 20, 2031 and the Maturity Date
Maturity Date*: July 21, 2031
Automatic Call:
If the closing price of one share of each Fund on any Review
Date is greater than or equal to its Call Value, the notes will be
automatically called for a cash payment, for each $1,000
principal amount note, equal to (a) $1,000 plus (b) the Call
Premium Amount applicable to that Review Date, payable on
the applicable Call Settlement Date. No further payments will be
made on the notes.
Payment at Maturity:
If the notes have not been automatically called and the Final
Value of each Fund is greater than or equal to its Barrier
Amount, you will receive the principal amount of your notes at
maturity.
If the notes have not been automatically called and the Final
Value of either Fund is less than its Barrier Amount, your
payment at maturity per $1,000 principal amount note will be
calculated as follows:
$1,000 + ($1,000 × Lesser Performing Fund Return)
If the notes have not been automatically called and the Final
Value of either Fund is less than its Barrier Amount, you will lose
more than 40.00% of your principal amount at maturity and
could lose all of your principal amount at maturity.
Lesser Performing Fund: The Fund with the Lesser
Performing Fund Return
Lesser Performing Fund Return: The lower of the Fund
Returns of the Funds
Fund Return:
With respect to each Fund,
(Final Value – Initial Value)
Initial Value
Initial Value: With respect to each Fund, the closing price of
one share of that Fund on the Pricing Date, which was $177.52
for the State Street® Technology Select Sector SPDR® ETF and
$568.92 for the VanEck® Semiconductor ETF
Final Value: With respect to each Fund, the closing price of one
share of that Fund on the final Review Date
Share Adjustment Factor: With respect to each Fund, the
Share Adjustment Factor is referenced in determining the
closing price of one share of that Fund and is set equal to 1.0 on
the Pricing Date. The Share Adjustment Factor of each Fund is
subject to adjustment upon the occurrence of certain events
affecting that Fund. See “The Underlyings — Funds — Anti-
Dilution Adjustments” in the accompanying product supplement
for further information.
* Subject to postponement in the event of a market disruption
event and as described under “General Terms of Notes —
Postponement of a Determination Date — Notes Linked to
Multiple Underlyings” and “General Terms of Notes —
Postponement of a Payment Date” in the accompanying product
supplement or early acceleration in the event of an acceleration
event as described under “General Terms of Notes —
Consequences of an Acceleration Event” in the accompanying
product supplement and “Selected Risk Considerations — Risks
Relating to the Notes Generally — We May Accelerate Your
Notes If an Acceleration Event Occurs” in this pricing
supplement