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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  04/30 17:17
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Bank of America Corporation (BofA) has announced the issuance of Leveraged Index Return Notes linked to the SPDR EURO STOXX 50 ETF, with a maturity date set for May 3, 2027. These senior unsecured debt securities, issued by BofA Finance LLC and fully guaranteed by BofA, are designed to provide investors with 162.75% leveraged exposure to the increases of the underlying fund, while also having a 1-to-1 downside exposure. The notes, with no periodic interest payments and limited secondary market liquidity, are being offered at a public price of $10 per unit, totaling $4.1 million. The initial estimated value of the notes is $9.697 per unit, which is below the public offering price. The notes are subject to the credit risk of both BofA Finance LLC and...Show More
Bank of America Corporation (BofA) has announced the issuance of Leveraged Index Return Notes linked to the SPDR EURO STOXX 50 ETF, with a maturity date set for May 3, 2027. These senior unsecured debt securities, issued by BofA Finance LLC and fully guaranteed by BofA, are designed to provide investors with 162.75% leveraged exposure to the increases of the underlying fund, while also having a 1-to-1 downside exposure. The notes, with no periodic interest payments and limited secondary market liquidity, are being offered at a public price of $10 per unit, totaling $4.1 million. The initial estimated value of the notes is $9.697 per unit, which is below the public offering price. The notes are subject to the credit risk of both BofA Finance LLC and Bank of America Corporation, and their actual value will fluctuate based on various factors. The notes are not FDIC insured, not bank guaranteed, and may lose value. The pricing date for the notes is set for April 26, 2024, with a settlement date of May 3, 2024. Investors are advised to read the detailed risk factors and consult with financial advisors before investing.
美国银行公司(BofA)宣布发行与SPDR欧洲斯托克50指数ETF挂钩的杠杆指数回报票据,到期日定为2027年5月3日。这些优先无抵押债务证券由BofA Finance LLC发行,由美银全额担保,旨在为投资者提供162.75%的标的基金增长的杠杆敞口,同时也具有1比1的下行敞口。这些票据不定期支付利息,二级市场流动性有限,公开价格为每单位10美元,总额为410万美元。这些票据的初始估计价值为每单位9.697美元,低于公开发行价格。这些票据受BofA Finance LLC和美国银行公司的信用风险影响,其实际价值将因各种因素而波动。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。票据的定价日期定为2024年4月26日,结算日期为2024年5月3日。建议投资者在投资前阅读详细的风险因素并咨询财务顾问。
美国银行公司(BofA)宣布发行与SPDR欧洲斯托克50指数ETF挂钩的杠杆指数回报票据,到期日定为2027年5月3日。这些优先无抵押债务证券由BofA Finance LLC发行,由美银全额担保,旨在为投资者提供162.75%的标的基金增长的杠杆敞口,同时也具有1比1的下行敞口。这些票据不定期支付利息,二级市场流动性有限,公开价格为每单位10美元,总额为410万美元。这些票据的初始估计价值为每单位9.697美元,低于公开发行价格。这些票据受BofA Finance LLC和美国银行公司的信用风险影响,其实际价值将因各种因素而波动。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。票据的定价日期定为2024年4月26日,结算日期为2024年5月3日。建议投资者在投资前阅读详细的风险因素并咨询财务顾问。
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