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
Period Cumulative Return 1 1.25% 2 1.25% 3 1.25% 4 1.25%
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.
| Scenario | Condition | You Receive |
|---|---|---|
| Best | Reference rate rises over term | Principal + floating coupons (higher than expected) |
| Base | Reference rate stays stable | Principal + floating coupons at current rate |
| Worst | Reference rate declines; note may have floor | Principal + 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.