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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  07/22 16:41
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Bank of America Corporation (BAC) has issued $70 million in Fixed Rate Callable Notes, due January 22, 2026, with the pricing supplement filed on July 18, 2024. These senior unsecured debt securities are not FDIC insured, not bank guaranteed, and may lose value. The notes, bearing a fixed interest rate of 5.30% per annum, will pay interest quarterly starting October 22, 2024. BAC retains the right to redeem all notes on January 22, 2025, or any subsequent Call Date. The notes, with CUSIP number 06055JFG9, are issued in minimum denominations of $1,000 and will not be listed on any securities exchange. The offering price per note is 100% of the principal amount, with an underwriting discount of 0.15%, resulting in proceeds to BAC of 99.85% before expenses. The notes are subject to credit risk and market changes, and the offering includes a detailed risk factor section. The notes will be delivered in book-entry form through The Depository Trust Company against payment in immediately available funds.
Bank of America Corporation (BAC) has issued $70 million in Fixed Rate Callable Notes, due January 22, 2026, with the pricing supplement filed on July 18, 2024. These senior unsecured debt securities are not FDIC insured, not bank guaranteed, and may lose value. The notes, bearing a fixed interest rate of 5.30% per annum, will pay interest quarterly starting October 22, 2024. BAC retains the right to redeem all notes on January 22, 2025, or any subsequent Call Date. The notes, with CUSIP number 06055JFG9, are issued in minimum denominations of $1,000 and will not be listed on any securities exchange. The offering price per note is 100% of the principal amount, with an underwriting discount of 0.15%, resulting in proceeds to BAC of 99.85% before expenses. The notes are subject to credit risk and market changes, and the offering includes a detailed risk factor section. The notes will be delivered in book-entry form through The Depository Trust Company against payment in immediately available funds.
美国银行(Bank of America Corporation)发行了7000万美元的固定利率可赎回债券,到期日为2026年1月22日, 定价补充文件于2024年7月18日提交。这些优先无抵押债务证券不受FDIC保险,不受银行保障,其价值可能会下降。这些票据的固定利率为每年5.30%,从2024年10月22日起每季度支付利息。 美国银行保留在2025年1月22日或任何之后的赎回日赎回所有票据的权利。这些票据的CUSIP号码为06055JFG9,并以1000美元的最小单位发行,将不上市于任何证券交易所。每张票据的发行价格为100%的本金,扣除0.15%的承销折扣后,美国银行的收益为99.85%的本金,扣除费用。这些票据面临信用风险和市场变化,发行文件包含详细风险因素部分。这些票据将以簿记形式通过中央存管公司(DTC)交付,以立即可用的资金支付。
美国银行(Bank of America Corporation)发行了7000万美元的固定利率可赎回债券,到期日为2026年1月22日, 定价补充文件于2024年7月18日提交。这些优先无抵押债务证券不受FDIC保险,不受银行保障,其价值可能会下降。这些票据的固定利率为每年5.30%,从2024年10月22日起每季度支付利息。 美国银行保留在2025年1月22日或任何之后的赎回日赎回所有票据的权利。这些票据的CUSIP号码为06055JFG9,并以1000美元的最小单位发行,将不上市于任何证券交易所。每张票据的发行价格为100%的本金,扣除0.15%的承销折扣后,美国银行的收益为99.85%的本金,扣除费用。这些票据面临信用风险和市场变化,发行文件包含详细风险因素部分。这些票据将以簿记形式通过中央存管公司(DTC)交付,以立即可用的资金支付。
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