NBC Extendible Linear Accrual 7.70% Flex GIC, series 276F (USD)
15041
General Information
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Issuer:
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NBC
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FundSERV Code:
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NBC37074
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ISM Code:
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Z57AR4
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Highlights
- 15-year term.
- Principal amount fully protected at maturity by National Bank of Canada.
- Accrual Amounts: Year 1: 7.70%, Year 2: 15.40%, Year 3: 23.10%, Year 4: 30.80%, Year 5: 38.50%, Year 6: 46.20%, Year 7: 53.90%, Year 8: 61.60%, Year 9: 69.30%, Year 10: 77%, Year 11: 84.70%, Year 12: 92.40%, Year 13: 100.10%, Year 14: 107.80%, Year 15: 115.50%
- Eligible for CDIC Deposit Insurance.
- Eligible for RRSPs, RRIFs, RESPs, RDSPs, DPSPs and TFSAs.
- Can be sold back to the Bank on a daily basis subject to normal market conditions. An investor who sells the Deposit prior to maturity may receive less than the Principal Amount per Deposit.
Dates
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Issue Date:
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12-Nov-2025
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Sales Period:
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03-Nov-2025 - 05-Nov-2025
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Maturity date:
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12-Nov-2040
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Note term:
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15.0 years
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Valuation Date:
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05-Nov-2040
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Call Val. Date 1:
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28-Oct-2026
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Call Val. Date 2:
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28-Oct-2027
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Call Val. Date 3:
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30-Oct-2028
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Call Val. Date 4:
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29-Oct-2029
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Call Val. Date 5:
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28-Oct-2030
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Call Val. Date 6:
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28-Oct-2031
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Call Val. Date 7:
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28-Oct-2032
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Call Val. Date 8:
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28-Oct-2033
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Call Val. Date 9:
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30-Oct-2034
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Call Val. Date 10:
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29-Oct-2035
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Call Val. Date 11:
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28-Oct-2036
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Call Val. Date 12:
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29-Oct-2037
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Call Val. Date 13:
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29-Oct-2038
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Call Val. Date 14:
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31-Oct-2039
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Call Val. Date 15:
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29-Oct-2040
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Legal Notice
Portfolio
| Clean Price | Accrued interest | Dirty price |
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| Initial Maturity Date | Initial Redemption Amount | |
| 12-Nov-26 | $7.700 | |
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| Extended Maturity Dates | Extended Redemption Amount | |
| 12-Nov-27 | $15.400 | |
| 14-Nov-28 | $23.100 | |
| 13-Nov-29 | $30.800 | |
| 12-Nov-30 | $38.500 | |
| 12-Nov-31 | $46.200 | |
| 12-Nov-32 | $53.900 | |
| 14-Nov-33 | $61.600 | |
| 14-Nov-34 | $69.300 | |
| 13-Nov-35 | $77.000 | |
| 12-Nov-36 | $84.700 | |
| 12-Nov-37 | $92.400 | |
| 12-Nov-38 | $100.100 | |
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