NBC Extendible Linear Accrual 6.3% Flex GIC, series 93F

Current price: N/A
As of

General Information

Issuer:
NBC
FundSERV Code:
NBC29031
ISM Code:
Z56A60

Highlights

  • 15-year term.
  • Principal amount fully protected at maturity by National Bank of Canada.
  • Accrual Amounts: Year 3: 18.90%, Year 4: 25.20%, Year 5: 31.50%, Year 6: 37.80%, Year 7: 44.10%, Year 8: 50.40%, Year 9: 56.70%, Year 10: 63%, Year 11: 69.30%, Year 12: 75.60%, Year 13: 81.90%, Year 14: 88.20%, Year 15: 94.50%
  • Eligible for CDIC Deposit Insurance.
  • Eligible for RRSPs, RRIFs, RESPs, RDSPs, DPSPs and TFSAs.
  • Can be sold back to the Bank on a daily basis subject to normal market conditions. An investor who sells the Deposit prior to maturity may receive less than the Principal Amount per Deposit.

Dates

Issue Date:
26-Sep-2024
Maturity date:
26-Sep-2039
Note term:
15.0 years
Valuation Date:
19-Sep-2039
Call Val. Date 1:
13-Sep-2027
Call Val. Date 2:
12-Sep-2028
Call Val. Date 3:
12-Sep-2029
Call Val. Date 4:
12-Sep-2030
Call Val. Date 5:
12-Sep-2031
Call Val. Date 6:
13-Sep-2032
Call Val. Date 7:
12-Sep-2033
Call Val. Date 8:
12-Sep-2034
Call Val. Date 9:
12-Sep-2035
Call Val. Date 10:
12-Sep-2036
Call Val. Date 11:
14-Sep-2037
Call Val. Date 12:
13-Sep-2038
Call Val. Date 13:
12-Sep-2039

Price and Historical Values

Currency:
CAN

The bid price and any related information on the date of sale may differ from the current price and information posted above. Please refer to the offering document or your investment advisor.

Legal Notice

Portfolio

Clean PriceAccrued interestDirty price
Initial Maturity DateInitial Redemption Amount
27-Sep-27$18.900
Extended Maturity DatesExtended Redemption Amount
26-Sep-28$25.200
26-Sep-29$31.500
26-Sep-30$37.800
26-Sep-31$44.100
27-Sep-32$50.400
26-Sep-33$56.700
26-Sep-34$63.000
26-Sep-35$69.300
26-Sep-36$75.600
28-Sep-37$81.900
27-Sep-38$88.200
26-Sep-39$94.500