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Principal Protected Notes
Bank of Montreal S&P/TSX Composite Low Volatility Index (F-Class) Principal Protected Deposit Notes, Series 126
Product Details
IssuerBank of Montreal
ClassIndex Linked
Linked toS&P/TSX Composite Low Volatility Index
Issue dateMay 30, 2018
Maturity dateMay 30, 2022
Term4 years
Product Description
  • Variable Return, if any, based on the price performance of the S&P/TSX Composite Low Volatility Index (Price Return Version). The Variable Return per Deposit Note, if any, will be an amount equal to $100 multiplied by 155% of the price return, if positive, of the Reference Index.

Current Status As of May 22, 2018
Remaining Term4.00 years
Current ETC**
Return since Inception:0.00 %
Cumulative Distribution$0.00
Adjusted Cost Base if held since Inception$100.00
Current Bid Price: Historical Bid Prices & Distribution $100.00

**Early trading charge will reduce proceeds on disposition.