share_log

424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股SEC公告 ·  07/23 06:03

Moomoo AI 已提取核心信息

Bank of America Corporation (BofA) has announced the pricing of its senior unsecured debt securities, known as Fixed to Floating Rate Notes Linked to Compounded SOFR, with a maturity date of August 25, 2025. The notes, which are not FDIC insured or bank guaranteed, may lose value and are subject to BofA's credit risk. The notes will initially bear a fixed interest rate of 5.50% per annum until November 25, 2024, after which the rate will switch to a floating rate based on Compounded SOFR plus 0.15%, with a minimum rate of 0.00% per annum. The notes are expected to price on July 23, 2024, and will mature on August 25, 2025, with interest paid monthly. They will not be listed on any securities exchange and are issued in minimum...Show More
Bank of America Corporation (BofA) has announced the pricing of its senior unsecured debt securities, known as Fixed to Floating Rate Notes Linked to Compounded SOFR, with a maturity date of August 25, 2025. The notes, which are not FDIC insured or bank guaranteed, may lose value and are subject to BofA's credit risk. The notes will initially bear a fixed interest rate of 5.50% per annum until November 25, 2024, after which the rate will switch to a floating rate based on Compounded SOFR plus 0.15%, with a minimum rate of 0.00% per annum. The notes are expected to price on July 23, 2024, and will mature on August 25, 2025, with interest paid monthly. They will not be listed on any securities exchange and are issued in minimum denominations of $1,000. The offering is directed at qualified investors and is not intended for retail investors in the EEA or the UK. The notes are part of an effective Registration Statement under the Securities Act of 1933, and the sale is subject to completion. Merrill Lynch Capital Services, Inc. will act as the calculation agent, and the notes will be delivered in book-entry form through The Depository Trust Company on or about July 25, 2024.
美国银行公司(BofA)宣布定价其高级无抵押债务证券,称为固定对浮动利率票据,链接复合SOFR,到期日为2025年8月25日。这些票据并非FDIC承保或银行保证,可能会损失价值,并受到BofA的信用风险。票据最初将以每年5.50%的固定利率支付,直到2024年11月25日,之后利率将根据复合SOFR加0.15%转换为浮动利率,最低利率为每年0.00%。这些票据预计将于2024年7月23日定价,并将于2025年8月25日到期,每月支付利息。它们不会在任何证券交易所上市,最小面额为1000美元。该发行面向合格投资者,不面向欧洲经济区或英国的零售投资者。该票据是根据《1933年证券法》有效的注册声明的一部分,销售受到完成的限制。美林货币服务公司将担任计算代理,票据将以记账形式通过存管信托公司于2024年7月25日或前后交付。
美国银行公司(BofA)宣布定价其高级无抵押债务证券,称为固定对浮动利率票据,链接复合SOFR,到期日为2025年8月25日。这些票据并非FDIC承保或银行保证,可能会损失价值,并受到BofA的信用风险。票据最初将以每年5.50%的固定利率支付,直到2024年11月25日,之后利率将根据复合SOFR加0.15%转换为浮动利率,最低利率为每年0.00%。这些票据预计将于2024年7月23日定价,并将于2025年8月25日到期,每月支付利息。它们不会在任何证券交易所上市,最小面额为1000美元。该发行面向合格投资者,不面向欧洲经济区或英国的零售投资者。该票据是根据《1933年证券法》有效的注册声明的一部分,销售受到完成的限制。美林货币服务公司将担任计算代理,票据将以记账形式通过存管信托公司于2024年7月25日或前后交付。
声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息