Free Writing Prospectus
Filed Pursuant to Rule 433
Registration Statement No. 333-199966
Dated April 15, 2015
 


J.P. Morgan U.S. Sector Rotator 5 Index (Series 1)
==============================================================================================
Performance Update - April 2015

OVERVIEW
The J.P. Morgan U.S. Sector Rotator 5 Index (Series 1) (the "Index" or "U.S.
Sector Rotator 5 Index") is a notional rules-based proprietary index that, on a
monthly basis, tracks the excess return of a synthetic portfolio of (i) up to
five U.S. Sector Constituents, which are U.S. sector exchange-traded funds,
that are selected according to their past month return with a volatility
feature, or, (ii) the U.S. Sector Constituents that meet the selection criteria
and the Bond Constituent, which is the PIMCO Total Return Active
Exchange-Traded Fund.

Hypothetical and Actual Historical Performance -March 31, 2005 to March 31,
2015

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* See "Notes" on following page

Key Features of the Index
o The strategy is based on a universe of 11 investible underlyings (10 ETFs
across U.S. sectors and an ETF representing fixed income exposure)
o Monthly rebalancing of portfolio allocation, with all positions financed by short term
borrowing of cash.
o Targets a volatility of 5%
o Daily deduction of a fee of 0.50% per annum
p Levels published on Bloomberg under the ticker JPUSSC5E.

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Hypothetical and Actual Historical Volatility --September 27, 2005 to March 31,
2015

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Recent Index Performance

 Historical
Performance  Jan    Feb    Mar    Apr   May    Jun    Jul    Aug    Sep    Oct    Nov    Dec   Full Year
----------- ------ ------ ------ ----- ------ ------ ------ ------ ------ ------ ------ ------ ---------
  2015      -0.31% -0.32% -0.88%                                                               -1.50%
----------- ------ ------ ------ ----- ------ ------ ------ ------ ------ ------ ------ ------ ---------
  2014      -2.39% 1.25%  -0.07% 1.24% 0.65%  0.83%  -1.33% 2.16%  -0.43% 1.41%  0.97%  -0.38% 3.88%
----------- ------ ------ ------ ----- ------ ------ ------ ------ ------ ------ ------ ------ ---------
  2013      1.78%  0.43%  2.14%  1.91% -1.18% -0.41% 1.09%  -1.47% 1.67%  1.62%  0.91%  1.25%  10.12%
----------- ------ ------ ------ ----- ------ ------ ------ ------ ------ ------ ------ ------ ---------
  2012      0.32%  1.04%  1.50%  0.03% -0.21% 0.60%  0.33%  -0.34% 1.23%  -0.36% 0.20%  0.13%  4.55%
----------- ------ ------ ------ ----- ------ ------ ------ ------ ------ ------ ------ ------ ---------
  2011      1.26%  1.34%  -0.06% 1.14% 0.78%  -0.92% 0.91%  -1.08% -1.66% 0.89%  -0.14% 1.69%  4.16%
----------- ------ ------ ------ ----- ------ ------ ------ ------ ------ ------ ------ ------ ---------

** As calculated though March 31, 2015

Recent Index Composition

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J.P. Morgan Structured Investments | 800 576 3529 | JPM_Structured_Investments@jpmorgan.com April 01, 2015
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Comparative Hypothetical and Historical Total Returns (%), Volatility (%) and
Correlation -- March 31, 2015

                                        Three Year Annualized Five Year Annualized Ten Year Annualized Ten Year Annualized

                                              Return               Return               Return             Volatility      Ten Year Sharpe Ratio Ten Year Correlation
--------------------------------------- --------------------- -------------------- ------------------- ------------------- --------------------- --------------------
J.P. Morgan U.S. Sector Rotator 5 Index       4.62%                5.27%                3.90%               4.51%                0.86               100.00%
(Series 1)

--------------------------------------- --------------------- -------------------- ------------------- ------------------- --------------------- --------------------
S&P 500 Index (Excess Return)                 15.57%               13.90%               5.73%               20.49%                0.28                54.26%
--------------------------------------- --------------------- -------------------- ------------------- ------------------- --------------------- --------------------
JPM US Gov Bond Index (Excess Return)         2.12%                3.70%                2.54%               4.74%                 0.54               -15.83%

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Disclaimer

JPMorgan Chase & Co. ("J.P. Morgan") has filed a registration statement
(including a prospectus) with the Securities and Exchange Commission (the
"SEC") for any offerings to which these materials relate. Before you invest in
any offering of securities by J.P. Morgan, you should read the prospectus in
that registration statement, the prospectus supplement, as well as the
particular underlying supplement, the relevant term sheet or pricing
supplement, and any other documents that J.P. Morgan will file with the SEC
relating to such offering for more complete information about J.P. Morgan and
the offering of any securities. You may get these documents without cost by
visiting EDGAR on the SEC Website at www.sec.gov. Alternatively, J.P. Morgan,
any agent, or any dealer participating in the particular offering will arrange
to send you the prospectus and the prospectus supplement, as well as any
product supplement and term sheet or pricing supplement, if you so request by
calling toll-free (800) 576-3529.
Free Writing Prospectus filed pursuant to Rule 433; Registration Statement No.
333-199966

J.P. Morgan Structured Investments | 800 576 3529 | JPM_Structured_Investments@jpmorgan.com April 01, 2015
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