share_log

424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  05/03 16:47
Moomoo AI 已提取核心信息
Bank of America Corporation (BAC) has issued $60 million in Fixed Rate Callable Notes, due May 3, 2027, as detailed in a pricing supplement filed pursuant to Rule 424(b)(2). The notes, which are senior unsecured debt securities, priced on May 1, 2024, and will mature on May 3, 2027, unless redeemed earlier. Interest on these notes is set at a fixed rate of 5.80% per annum, payable semi-annually starting November 3, 2024. BAC retains the right to redeem all notes on May 3, 2025, or any subsequent Call Date, at 100% of the principal amount plus any accrued interest. The notes, with CUSIP number 06055JEJ4, are issued in minimum denominations of $1,000 and are not listed on any securities exchange. The offering includes a public offering price of 100% of the principal amount, an underwriting...Show More
Bank of America Corporation (BAC) has issued $60 million in Fixed Rate Callable Notes, due May 3, 2027, as detailed in a pricing supplement filed pursuant to Rule 424(b)(2). The notes, which are senior unsecured debt securities, priced on May 1, 2024, and will mature on May 3, 2027, unless redeemed earlier. Interest on these notes is set at a fixed rate of 5.80% per annum, payable semi-annually starting November 3, 2024. BAC retains the right to redeem all notes on May 3, 2025, or any subsequent Call Date, at 100% of the principal amount plus any accrued interest. The notes, with CUSIP number 06055JEJ4, are issued in minimum denominations of $1,000 and are not listed on any securities exchange. The offering includes a public offering price of 100% of the principal amount, an underwriting discount of 0.25%, resulting in proceeds to BAC of 99.75% of the principal before expenses. The notes are not FDIC insured, not bank guaranteed, and may lose value, indicating a degree of investment risk. The notes are not approved or disapproved by any regulatory body, and any representation to the contrary is a criminal offense. Delivery of the notes will be in book-entry form through The Depository Trust Company on May 3, 2024, against payment in immediately available funds.
美国银行公司(BAC)已发行6000万美元的固定利率可赎回票据,将于2027年5月3日到期,详情见根据第424(b)(2)条提交的定价补充文件。这些票据是优先无抵押债务证券,定价于2024年5月1日,除非提前兑换,否则将于2027年5月3日到期。这些票据的利息定为每年5.80%的固定利率,从2024年11月3日起每半年支付一次。BAC保留在2025年5月3日或任何后续的收款日按本金的100%加上任何应计利息赎回所有票据的权利。这些票据的CUSIP编号为 06055JEJ4,发行的最低面额为1,000美元,未在任何证券交易所上市。此次发行包括本金100%的公开发行价格,0.25%的承保折扣,从而...展开全部
美国银行公司(BAC)已发行6000万美元的固定利率可赎回票据,将于2027年5月3日到期,详情见根据第424(b)(2)条提交的定价补充文件。这些票据是优先无抵押债务证券,定价于2024年5月1日,除非提前兑换,否则将于2027年5月3日到期。这些票据的利息定为每年5.80%的固定利率,从2024年11月3日起每半年支付一次。BAC保留在2025年5月3日或任何后续的收款日按本金的100%加上任何应计利息赎回所有票据的权利。这些票据的CUSIP编号为 06055JEJ4,发行的最低面额为1,000美元,未在任何证券交易所上市。此次发行包括本金100%的公开发行价格,0.25%的承保折扣,从而使BAC的收益占支出前本金的99.75%。这些票据没有联邦存款保险公司保险,没有银行担保,可能会贬值,这表明存在一定程度的投资风险。这些票据未经任何监管机构的批准或不批准,任何相反的陈述均属刑事犯罪。票据将于2024年5月3日通过存托信托公司以账面记账形式交付,并以即时可用资金支付。
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