NBC Auto Callable Contingent Memory Income Note Securities (Maturity-Monitored Barrier) linked to the Canadian market, Class F, due on September 22, 2025

Current price: $102.68
As of 22-Mar-2021

General Information

Issuer:
NBC
FundSERV Code:
NBC20042
ISM Code:
V86777
Ticker Symbol:
XIU CT Equity
Educational Summary:
Link

Highlights

  • 7-year term.
  • Linked to the units of the iShares® S&P/TSX 60 Index ETF.
  • Potential Coupon Payments: Provided that the Reference Asset Return is higher than the Coupon Payment Threshold on the applicable Coupon Payment Valuation Date, Holders will be entitled to receive, on the relevant Coupon Payment Date, the Coupon Payment which shall be computed by reference to both the Coupon of $2.500 (equivalent to 2.500% of the Principal Amount of each Note Security) and the Coupon Variable Return
  • Memory feature: Coupon Payments include any previously unpaid coupon payments.
  • Coupon Payment Threshold: -40.00%
  • Call Threshold: 10.00%.
  • Potential Coupon Payment: $5.00 p.a. paid semi-annually.
  • Maturity Barrier: -40.00%.
  • If the Reference Portfolio Return is equal to or higher than the Call Threshold on a Call Valuation Date, the Note Securities will be automatically called on the applicable Call Date and the Maturity Redemption Payment will be equal to $100 x [1 + Variable Return]; or
  • If the Note Securities are not automatically called and the Reference Portfolio Return is positive on the Final Valuation Date, the Maturity Redemption Payment will be equal to $100 x [1 + Variable Return]; or
  • If the Note Securities are not automatically called and the Reference Portfolio Return is nil or negative but equal to or higher than the Barrier on the Final Valuation Date, the Maturity Redemption Payment will be equal to $100; or
  • If the Note Securities are not automatically called and the Reference Portfolio Return is negative and lower than the Barrier on the Final Valuation Date, the Maturity Redemption Payment will be equal to $100 x [1 + Reference Portfolio Return].
  • Eligible for RRSPs, RRIFs, RESPs, RDSPs, DPSPs and TFSAs.
  • Daily secondary market available under normal market conditions.

Dates

Issue Date:
20-Sep-2018
Maturity date:
22-Sep-2025
Note term:
7.0 years
Call Val. Date 1:
13-Mar-2019
Call Val. Date 2:
13-Sep-2019
Call Val. Date 3:
13-Mar-2020
Call Val. Date 4:
14-Sep-2020
Call Val. Date 5:
15-Mar-2021
Call Val. Date 6:
13-Sep-2021
Call Val. Date 7:
14-Mar-2022
Call Val. Date 8:
13-Sep-2022
Call Val. Date 9:
13-Mar-2023
Call Val. Date 10:
13-Sep-2023
Call Val. Date 11:
13-Mar-2024
Call Val. Date 12:
13-Sep-2024
Call Val. Date 13:
13-Mar-2025
Final Valuation Date:
15-Sep-2025

Price and Historical Values

Last Updated Date:
22-Mar-2021
Current Price:
$102.68
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

CompanyInitial PriceFinal PriceReturnWeighting
iShares® S&P/TSX 60 Index ETF24.1528.4317.75%100%
Reference Portfolio Return17.75%
Barrier14.487
Call Threshold0.00%
Called on Mar 22, 2021Call Threshold Value24.145