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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  07/22 17:22
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Bank of America Corporation (BofA) has announced the pricing of a new financial instrument, the Autocallable Contingent Coupon (with Memory) Barrier Notes, linked to the iShares Silver Trust, with a maturity date set for January 27, 2026. BofA Finance LLC is issuing the notes, which are fully and unconditionally guaranteed by Bank of America Corporation. The notes are designed to pay a contingent coupon payment if the underlying fund's value is at or above a specified barrier and are automatically callable under certain conditions. The notes offer a potential annual coupon rate of approximately 9.50% per annum, with the initial estimated value of the notes at the pricing date being $9.798 per unit, which is below the public offering price of $10.00 per unit...Show More
Bank of America Corporation (BofA) has announced the pricing of a new financial instrument, the Autocallable Contingent Coupon (with Memory) Barrier Notes, linked to the iShares Silver Trust, with a maturity date set for January 27, 2026. BofA Finance LLC is issuing the notes, which are fully and unconditionally guaranteed by Bank of America Corporation. The notes are designed to pay a contingent coupon payment if the underlying fund's value is at or above a specified barrier and are automatically callable under certain conditions. The notes offer a potential annual coupon rate of approximately 9.50% per annum, with the initial estimated value of the notes at the pricing date being $9.798 per unit, which is below the public offering price of $10.00 per unit. The notes are not FDIC insured, not bank guaranteed, and may lose value, with limited secondary market liquidity and no exchange listing. The offering includes a total of 100,000 units with a $10 principal amount per unit, resulting in total proceeds before expenses to BofA Finance of $990,000.00. The pricing date for the notes is July 18, 2024, with a settlement date of July 25, 2024. Investors are advised to read the detailed risk factors and consult with their financial advisors before investing.
美国银行公司(BofA)宣布定价一种新的金融工具,自动敲出性可赎回票息(带记忆)障碍票据,与白银etf-ishares相连,到期日设定为2026年1月27日。美国银行公司发行这些票据,这些票据由美国银行公司全额和无条件担保。当基金的价值在或高于特定障碍时,票据旨在支付有条件的票据利息,根据一定条件自动赎回。票据提供了约9.50%的潜在年度票息,票据的初始估值为每单位9.798美元,低于每单位10.00美元的公开发售价格。这些票据不受联邦存款保险公司保险,不受银行保障,可能会损失价值,流动性有限且没有交易所上市。本次发行包括总共10万个单位,每单位面值10美元,因此筹集的总收益在扣除费用后为990,000.00美元。票据的定价日是2024年7月18日,结算日是2024年7月25日。投资者应阅读详细的风险因素并在投资前咨询他们的理财顾问。
美国银行公司(BofA)宣布定价一种新的金融工具,自动敲出性可赎回票息(带记忆)障碍票据,与白银etf-ishares相连,到期日设定为2026年1月27日。美国银行公司发行这些票据,这些票据由美国银行公司全额和无条件担保。当基金的价值在或高于特定障碍时,票据旨在支付有条件的票据利息,根据一定条件自动赎回。票据提供了约9.50%的潜在年度票息,票据的初始估值为每单位9.798美元,低于每单位10.00美元的公开发售价格。这些票据不受联邦存款保险公司保险,不受银行保障,可能会损失价值,流动性有限且没有交易所上市。本次发行包括总共10万个单位,每单位面值10美元,因此筹集的总收益在扣除费用后为990,000.00美元。票据的定价日是2024年7月18日,结算日是2024年7月25日。投资者应阅读详细的风险因素并在投资前咨询他们的理财顾问。
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