Extendible Step-Down Deposit Notes, Series 2

Current price: US$100.00
As of 05-Sep-2019

General Information

Issuer:
NBC
FundSERV Code:
NBC28009
ISM Code:
V86770

Product Description

The Notes offer pre-determined step-down coupons (the “Coupons”). The Issuer may, at its option, extend the Notes beginning on the Initial Maturity Date and annually thereafter (each referred to as an “Extended Maturity Date”) up until the final maturity date (the “Final Maturity Date”) pursuant to the Extension Feature described below. The Notes pay semi-annual Coupons. All payments under the Notes will be in American dollars.

Highlights

  • Coupons: Coupons will be paid semi-annually in arrears on the 5th day of March and September. The first Coupon Payment Date will be March 5, 2019.
  • Initial Maturity Date: September 5, 2019.
  • Extended Maturity Date: September 5, 2020.
  • Final Maturity Date: September 5, 2021.
  • Extension Feature: The Issuer may, at its option, on the Initial Maturity Date or on an Extended Maturity Date, extend the Maturity Date of the Notes to the next subsequent Extended Maturity Date or to the Final Maturity Date if applicable, at the interest rate set out below in respect of the relevant Extension Period (as defined below), but in no event beyond the Final Maturity Date (the “Extension Feature”).
  • Secondary Market: National Bank Financial Inc., as market maker, intends to maintain until the Maturity Date, under normal market conditions, a daily secondary market for the Notes.
  • The Notes will not constitute deposits that are insured under the Canada Deposit Insurance Corporation Act.
  • Eligible for RRSPs, RRIFs, RESPs, RDSPs, DPSPs and TFSAs.

Dates

Issue Date:
05-Sep-2018
Maturity date:
07-Sep-2021
Note term:
3.0 years
Valuation Date:
01-Sep-2021
Call Val. Date 1:
21-Aug-2019
Call Val. Date 2:
24-Aug-2020
Call Val. Date 3:
23-Aug-2021
Initial Maturity Date:
05-Sep-2019

Price and Historical Values

Last Updated Date:
05-Sep-2019
Current Price:
US$100.00
Currency:
USD

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
Fixed Coupon Payment Dates (Initial Maturity Date)Coupon
03-05-19$1.750
09-05-19$1.750
Fixed Coupon Payment Dates (Extension Period) Coupon
03-05-20$1.550
09-08-20$1.550
03-05-21$1.375
09-07-21$1.375