American market Auto Callable Contingent Income, Class F

Auto Callable Coupon Active
View on National Bank

Identification

Fundserv Code
NBC34204
Issuer
National Bank
Currency
CAD
Product Type
PAR
A/F Class
F

Structure & Return

Structure
Auto Callable Coupon
Investment Objective
Income
Coupon Rate
7.14%
Pay Frequency
Monthly
Coupon Knock-Out
-10.0%
Autocall Levels
110%

Downside Protection

Downside Type
Barrier
Downside Level
-30%

Underlier

Name
iShares® S&P 500 Index ETF CAD Hedged (XSP)
Sector
Broad Market
Geography
United States

Dates & Fees

Term
5y
Issue Date
20-Jul-26
Maturity Date
21-Jul-31
Avail. Until
14-Jul-26

Payoff Scenarios

Best Case

Barrier 70%Autocall 110%Opening0Y1Y2Y3Y4Y560%80%100%120%

If: Underlier rises above autocall level (110%)

Then: Principal + coupons earned to date

Base Case

Barrier 70%Autocall 110%Opening0Y1Y2Y3Y4Y560%80%100%120%

If: Underlier declines but stays above barrier (-30%) at maturity; coupons paid when above threshold

Then: Principal + partial/full coupons (up to 35.7% total)

Worst Case

Barrier 70%Autocall 110%Opening0Y1Y2Y3Y4Y560%80%100%120%

If: Underlier falls below barrier (-30%) at maturity

Then: Principal Ă— (1 + underlier return)

For illustrative purposes only. These scenarios are hypothetical and do not represent actual or expected performance. The information presented is derived from publicly available data and may contain errors or omissions. Investors should review the official pricing supplement and offering documentation before making any investment decisions.

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