Call Value: With respect to each Index, 100.00% of its Initial Value
Review Dates*: November 17, 2026, December 14, 2026, January
13, 2027, February 16, 2027, March 15, 2027, April 13, 2027, May
13, 2027, June 14, 2027, July 13, 2027, August 13, 2027, September
13, 2027, October 13, 2027, November 15, 2027, December 13,
2027, January 13, 2028, February 14, 2028, March 13, 2028, April
13, 2028, May 15, 2028, June 13, 2028, July 13, 2028, August 14,
2028, September 13, 2028, October 13, 2028, November 13, 2028,
December 13, 2028, January 16, 2029, February 13, 2029, March
13, 2029, April 13, 2029, May 14, 2029, June 13, 2029, July 13,
2029, August 13, 2029, September 13, 2029, October 15, 2029,
November 13, 2029, December 13, 2029, January 14, 2030,
February 13, 2030, March 13, 2030, April 15, 2030, May 13, 2030,
June 13, 2030, July 15, 2030, August 13, 2030, September 13, 2030,
October 14, 2030 and November 13, 2030 (final Review Date)
Call Settlement Dates*: November 20, 2026, December 17, 2026,
January 19, 2027, February 19, 2027, March 18, 2027, April 16,
2027, May 18, 2027, June 17, 2027, July 16, 2027, August 18, 2027,
September 16, 2027, October 18, 2027, November 18, 2027,
December 16, 2027, January 19, 2028, February 17, 2028, March
16, 2028, April 19, 2028, May 18, 2028, June 16, 2028, July 18,
2028, August 17, 2028, September 18, 2028, October 18, 2028,
November 16, 2028, December 18, 2028, January 19, 2029,
February 16, 2029, March 16, 2029, April 18, 2029, May 17, 2029,
June 18, 2029, July 18, 2029, August 16, 2029, September 18, 2029,
October 18, 2029, November 16, 2029, December 18, 2029, January
17, 2030, February 19, 2030, March 18, 2030, April 18, 2030, May
16, 2030, June 18, 2030, July 18, 2030, August 16, 2030, September
18, 2030, October 17, 2030 and the Maturity Date
Maturity Date*: November 18, 2030
Automatic Call:
If the closing level of each Index 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 Index 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
any Index 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 × Least Performing Index Return)
If the notes have not been automatically called and the Final Value of
any Index is less than its Barrier Amount, you will lose more than
30.00% of your principal amount at maturity and could lose all of your
principal amount at maturity.
Least Performing Index: The Index with the Least Performing Index
Return
Least Performing Index Return: The lowest of the Index Returns of
the Indices
Index Return: With respect to each Index,
(Final Value - Initial Value)
Initial Value
Initial Value: With respect to each Index, the closing level of that
Index on the Pricing Date, which was 47,457.22 for the Dow Jones
Industrial Average®, 2,382.984 for the Russell 2000® Index and
24,993.46 for the Nasdaq-100 Index®
Final Value: With respect to each Index, the closing level of that
Index on the final Review Date
* 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