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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  04/30 17:08
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Bank of America Corporation (BAC) has announced the issuance of Leveraged Index Return Notes linked to the iShares MSCI United Kingdom ETF, with a maturity date set for May 3, 2027. The notes, issued by BofA Finance LLC and guaranteed by BAC, offer 179.00% leveraged exposure to increases in the underlying fund, while also carrying a 1-to-1 downside exposure. The principal amount per unit is $10, with a total of 310,000 units resulting in a $3.1 million offering. The pricing date is set for April 26, 2024, with a settlement date of May 3, 2024. The notes do not offer periodic interest payments and have limited secondary market liquidity. The initial estimated value of the notes is $9.443 per unit, which is below the public offering price of $10.00 per unit. The...Show More
Bank of America Corporation (BAC) has announced the issuance of Leveraged Index Return Notes linked to the iShares MSCI United Kingdom ETF, with a maturity date set for May 3, 2027. The notes, issued by BofA Finance LLC and guaranteed by BAC, offer 179.00% leveraged exposure to increases in the underlying fund, while also carrying a 1-to-1 downside exposure. The principal amount per unit is $10, with a total of 310,000 units resulting in a $3.1 million offering. The pricing date is set for April 26, 2024, with a settlement date of May 3, 2024. The notes do not offer periodic interest payments and have limited secondary market liquidity. The initial estimated value of the notes is $9.443 per unit, which is below the public offering price of $10.00 per unit. The notes are senior unsecured debt securities and rank equally with BofA Finance's other unsecured and unsubordinated obligations. Payments on the notes are subject to the credit risk of both BofA Finance and BAC. The notes are not FDIC insured, not bank guaranteed, and may lose value. The offering includes an underwriting discount of $0.06 per unit, with proceeds before expenses to BofA Finance totaling approximately $3,081,400.00. Investors are advised to read the accompanying product supplement, prospectus, and the term sheet for detailed information on the notes, including risk factors and the structuring of the notes.
美国银行公司(BAC)宣布发行与iShares MSCI英国ETF挂钩的杠杆指数回报票据,到期日定为2027年5月3日。这些票据由美银金融有限责任公司发行,由BAC担保,为标的基金的增加提供了179.00%的杠杆敞口,同时也具有1比1的下行敞口。每单位的本金为10美元,共计31万套,发行量为310万美元。定价日期定为2024年4月26日,结算日期为2024年5月3日。这些票据不提供定期利息支付,二级市场流动性有限。这些票据的初始估计价值为每单位9.443美元,低于每单位10.00美元的公开发行价格。这些票据是优先无抵押债务证券,与BofA Finance的其他无抵押和非次级债务排名相同。票据的...展开全部
美国银行公司(BAC)宣布发行与iShares MSCI英国ETF挂钩的杠杆指数回报票据,到期日定为2027年5月3日。这些票据由美银金融有限责任公司发行,由BAC担保,为标的基金的增加提供了179.00%的杠杆敞口,同时也具有1比1的下行敞口。每单位的本金为10美元,共计31万套,发行量为310万美元。定价日期定为2024年4月26日,结算日期为2024年5月3日。这些票据不提供定期利息支付,二级市场流动性有限。这些票据的初始估计价值为每单位9.443美元,低于每单位10.00美元的公开发行价格。这些票据是优先无抵押债务证券,与BofA Finance的其他无抵押和非次级债务排名相同。票据的付款受美银金融和BAC的信用风险的约束。这些票据没有联邦存款保险公司的保险,没有银行担保,可能会贬值。此次发行包括每单位0.06美元的承保折扣,向美银金融提供的扣除支出前的收益总额约为3,081,400.00美元。建议投资者阅读随附的产品补充文件、招股说明书和条款表,了解有关票据的详细信息,包括风险因素和票据的结构。
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