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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股sec公告 ·  07/22 17:01
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Bank of America Corporation (BofA) has announced the pricing of its Fixed Income Auto-Callable Yield Notes Linked to the Least Performing of the Nasdaq-100 Index and the S&P 500 Index, due January 23, 2026. The notes, priced on July 18, 2024, will issue on July 23, 2024, with an approximate 18-month term, unless called prior to maturity. Payments on the notes will depend on the individual performance of the Nasdaq-100 Index and the S&P 500 Index. The notes offer a fixed coupon rate of 7.75% per annum, payable monthly, and are automatically callable monthly beginning January 21, 2025, if certain conditions are met. At maturity, if either underlying index declines by more than 30% from its starting value, investors' principal is at risk; otherwise, the principal amount will be...Show More
Bank of America Corporation (BofA) has announced the pricing of its Fixed Income Auto-Callable Yield Notes Linked to the Least Performing of the Nasdaq-100 Index and the S&P 500 Index, due January 23, 2026. The notes, priced on July 18, 2024, will issue on July 23, 2024, with an approximate 18-month term, unless called prior to maturity. Payments on the notes will depend on the individual performance of the Nasdaq-100 Index and the S&P 500 Index. The notes offer a fixed coupon rate of 7.75% per annum, payable monthly, and are automatically callable monthly beginning January 21, 2025, if certain conditions are met. At maturity, if either underlying index declines by more than 30% from its starting value, investors' principal is at risk; otherwise, the principal amount will be paid along with the final coupon payment. The notes, which will not be listed on any securities exchange, are subject to the credit risk of BofA Finance LLC and Bank of America Corporation. The initial estimated value of the notes is $988.10 per $1,000.00 in principal amount, which is less than the public offering price. The CUSIP number for the notes is 09711D2G6.
美國銀行公司(BofA)宣佈定價固收自動贖回收益注聯接道瓊斯指數和標普500指數,到期日爲2026年1月23日。2024年7月18日定價的票據將於2024年7月23日發行,約爲18個月期限,除非在到期前召回。票據的付款將取決於道瓊斯指數和標普500指數的單獨表現。票據提供固定的7.75%年息票率,每月支付,如果滿足某些條件,從2025年1月21日開始每月自動贖回。到期時,如果兩個基礎指數中的任何一個下跌超過其起始價值的30%,則投資者的本金面臨風險;否則,本金金額將與最後付息一起支付。這些票據不會被列在任何證券交易所上,受到BofA Finance LLC和美國銀行公司的信用風險。票據的初始預估價值爲每1000美元本金的988.10美元,低於公開發行價格。票據的CUSIP編號爲09711D2G6。
美國銀行公司(BofA)宣佈定價固收自動贖回收益注聯接道瓊斯指數和標普500指數,到期日爲2026年1月23日。2024年7月18日定價的票據將於2024年7月23日發行,約爲18個月期限,除非在到期前召回。票據的付款將取決於道瓊斯指數和標普500指數的單獨表現。票據提供固定的7.75%年息票率,每月支付,如果滿足某些條件,從2025年1月21日開始每月自動贖回。到期時,如果兩個基礎指數中的任何一個下跌超過其起始價值的30%,則投資者的本金面臨風險;否則,本金金額將與最後付息一起支付。這些票據不會被列在任何證券交易所上,受到BofA Finance LLC和美國銀行公司的信用風險。票據的初始預估價值爲每1000美元本金的988.10美元,低於公開發行價格。票據的CUSIP編號爲09711D2G6。
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