SCOTIA

BNS 3Y Fixed to Floating Rate Coupon (USD)

Frn Closing Soon
View on Scotiabank

Identification

Fundserv Code
SSPR0158
Issuer
Scotiabank
Currency
USD
Product Type
IRN
A/F Class
A

Structure & Return

Structure
Frn
Investment Objective
Unknown
Coupon Rate
5%
Pay Frequency
Annual
Coupon Schedule
PeriodCumulative Return
11.25%
21.25%
31.25%
41.25%

Downside Protection

Underlier

Sector
Other
Geography
Unknown

Dates & Fees

Term
3y
Issue Date
23-Jul-26
Maturity Date
23-Jul-29
Avail. Until
20-Jul-26
Sales Commission
0.50%

Payoff at Maturity

Payoff diagram not available for this structure type.

ScenarioConditionYou Receive
BestReference rate rises over termPrincipal + floating coupons (higher than expected)
BaseReference rate stays stablePrincipal + floating coupons at current rate
WorstReference rate declines; note may have floorPrincipal + reduced coupons (subject to floor if any)

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.