Final Terms. Floating Rate ote i ued pur uant to. N : 87 TRA H : 1 UR 1, loating Rate ote due o/e Bookru1111er. J.P.

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1 Final Terms JPM R I SE&C JPMORGAN CHASE & CO. Floating Rate ote i ued pur uant to u..$65,000,000,000 Euro Medium Term Note Program N : 87 TRA H : 1 UR 1, loating Rate ote due 2 17 Is u Price: I p r c nt. o/e Bookru1111er J.P. Morgan Jo/11/ Lend M01wger BN AMRO Banca IMI Banco Bilbao Vizcaya Argentaria, S.A. Lloyd Bank NATIXIS Thedate of th efinalterm i 10 June2015

2 PART A - 0 TRA T AL TERM Terms u ed herein shall be deemed Lo be de lined as such for the purposes of the Conditions set forth in the Prospectus dated eplember 24, 2014 and the upplemcntary Prospectuses dated October IS, 20 14, November 12, January IS, 20 1S, February 2S, 20 1S, April 23, 20 1S, May 8 201S and May 27, 201S, which together constitute a base prospectus for the purposes of the Prospectus Directive. This document constitute the Final Terms of the ote described herei n for the purpose of Article S.4 of the Prospectus Directive and must be read in conjunction with such Prospectus as so supplemented. ull information on the Issuer and the offer of the Notes is on ly avai lable on the basis of the combination of the e Final Terms and the Prospectu a o supplemented. The Prospe tus and the upplem ntary Pro pectuses have been published on the w bsite of the London tock xchange at ws/market-news-homc.html and copies may be obtained from the Agent. I. Issuer: JPMorgan ha e & o. 2. (i) cries Number: 87 (ii) Tranch Number: 3. pecilied un ency or Cun-encies: Euro( ) 4. Aggregate ominal Amount of oles: 1,7SO 000,000 s. Issue Price: per cent. of the Aggregate ominal Amount 6. (i) pecified Denominations: 100,000 and integral multiples of 1,000 in excess thereof (ii) Calcu lati on Amount: 1, (i) Issue Dale: 12 June 20 1S (ii) Interest Commencement Dale: Issue Date 8. Maturity Date: 12 June subject to adjustment in accordance with the Bu iness Day on ention set out in IS(v) below. 9. ln tcrc t B si : 3 month URIBOR per cent. Floating Rate 10. Rcdcmption!Payment Oa is: ubjcct to any purchase and cancellation or early redemption the Notes will be redeemed on the Maturity Date at 100 per 11. hange of Interest or Redemption/Payment Basis: ot Applicable 12. Put/ all Option : ol Applicable 13. talus of the oles: cnior cent. of their ominal Amount. Pro islon Relating to lntere t (ifany) Payable 14. Fi cd Rlltc otc Provision ot Applicable IS. Floating Rate otc Pro i ion Applicable (i) Interest Pcriod(s): The period beginning on (and including) the Interest Commencement Date and ending on (but excluding) th first Intere t Payment Date and thereafter each successive period beginning on (and includi ng) an Interest Payment Date and endi ng on (but excluding) the next succeeding lntere t Payment Date. (ii) pccificd Interest Payment Oat 12 March, 12 June, 12 cplember and 12 December in each year, commenci ng on 12 eplcmber 201 S up lo and including the Maturity Date subject lo adjustment in 2

3 (i ii) First Interest Payment Date: 12 eptember 2015 (iv) Interest Period Date: Each Interest Payment Date accordance with the Business Day onvention set out in (v) below (v) 13usines Day onvention: Modi Ii d Following Business Day Convention (v i) Busine s enter(s): London, cw York and TARGET (vii) Manner in which the Rate(s) of lnlere t creen Rate Determination is/are to be determined: (viii) Party responsible for calculating the Ratc(s) Not /\pplicable of Inter t and Interest Amount(s) (if not the alculation Agent): (ix) creen Rate Determination: - Reference Rate: 3 month EUR IBOR - Interest Determination Date(s): The day falling two T/\R T Business Day prior to the first day of each Interest Period - Relevant creen Page: Bloomberg Page EBF I or any sueces or page (x) Margin(s): per cent. per Interest Period (xi) Minimum Rate of Interest: ot Applicable (xii) Maximum Rate of Interest: ot Applicable (xiii) Day ount Fr ction: Actual/ Zero oupon ote Pro i ion ot Applicable Pr ovi ion Relati ng to Redemption 17. all O ption ot Applicable 18. Put Option ot Applicable 19. Fin a l Redempt ion Amount of each ote per Calculation Amount 20. Earl Red emption Amoun t Early Red mption Amount(s) per alculation Yes, as set out in the onditions Amount payable on redemption for taxation reasons or on event of default or other early redemption: cnera l Provl ion A pplicable to the ote : 2 1. Form of otcs: Permanent Regulation lobal ote in regi tered form, 22. (New afekeeping tructure) Yes which is exchangeable for De!initi e otes represented by Certificates in the limited circumstances specified in the Permanent Regulation Global ote The Permanent Regulation Global ote will be regi tered in the name of a nominee for a common safekeeper for Euroclear and Clearstrcam, Luxembourg 23. Financial entcr(s): London, New York and T/\R ET 3

4 24. Redenomination rcnominalization and ot Applicable re on entioni ng provisions: 25. Consolidation provisions: ol Applicable Signed on behalf of the Issuer: (/'}~ - By: L Duly authorized 4

5 I. Listing and Admission to T rading PART B - OT H ER INFORM T IO (i) Admi sion to trading: Application has been made by the Issuer (or on its behalf) for the Notes to be admitted to trading on the London tock Exchange's regulated market and listing on the Official Li t of the UK Listing Authority with e!tect from 12 June 20 I5. (ii) Estimate of total expenses related to 3,650 admission to trading: 2. Rating Ratings: The otes have not been rated 3. lntere ts of atural and L gal Per ons in ol ed in the I ue ave as di. cussed in ' ubscription and ale" so far a the Issuer is aware, no person involved in the offer of the otes has an interest material to the offer. The Managers and their affiliate have engaged, and may in future engage in investment banking and/or commercial banking transactions with, and may perform other services for, the Issuer and its affi liates in the ordinary course of bu iness. 4. Operational Information I I ode: x ommon ode: )earing system(s) and the relevant identification number( ): Euroclear Bank.A./N.V. and Clearstream Banking socicte anonyme Deliv ry: Delivery against payment ames and addre ses of initial Paying Agent(s): ot Applicable ame and addresses of additional Paying Agent(s) (if Not Applicable any): 5. Di tribution ames of Managers: J.P. Morgan ecurities pie AB AMR Bank.V. Banca IMI.p.A. Danco Bilbao Vizcaya Argcntaria.A. Lloyds Bank pie NATIXI U elling Restriction : Reg. ategory 2 5

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