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424B2: Prospectus

424B2: Prospectus

424B2:募资说明书
美股sec公告 ·  05/16 04:57
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Bank of America has announced the pricing of its Contingent Income Buffered Issuer Callable Yield Notes, linked to the performance of the Russell 2000 Index, the S&P 500 Index, and the Utilities Select Sector SPDR Fund, due May 18, 2027. The notes, priced on May 13, 2024, will issue on May 16, 2024, with an approximate 3-year term, unless called prior to maturity. The contingent coupon rate is set at 9.70% per annum, payable monthly, provided certain conditions regarding the underlying indices' values are met. The notes, callable monthly beginning August 16, 2024, at Bank of America's option, will not be listed on any securities exchange. The initial estimated value of the notes is $984.20 per $1,000 in principal, which is less than the public offering price. The notes are subject to the credit risk of BofA Finance LLC and Bank of America Corporation, and all payments depend on the performance of the underlying indices.
Bank of America has announced the pricing of its Contingent Income Buffered Issuer Callable Yield Notes, linked to the performance of the Russell 2000 Index, the S&P 500 Index, and the Utilities Select Sector SPDR Fund, due May 18, 2027. The notes, priced on May 13, 2024, will issue on May 16, 2024, with an approximate 3-year term, unless called prior to maturity. The contingent coupon rate is set at 9.70% per annum, payable monthly, provided certain conditions regarding the underlying indices' values are met. The notes, callable monthly beginning August 16, 2024, at Bank of America's option, will not be listed on any securities exchange. The initial estimated value of the notes is $984.20 per $1,000 in principal, which is less than the public offering price. The notes are subject to the credit risk of BofA Finance LLC and Bank of America Corporation, and all payments depend on the performance of the underlying indices.
美国银行宣布了2027年5月18日到期的或有收益缓冲发行人可赎回收益票据的定价,该票据与罗素2000指数、标准普尔500指数和公用事业精选行业SPDR基金的表现挂钩。这些票据定价于2024年5月13日,将于2024年5月16日发行,期限约为3年,除非在到期前赎回。或有票面利率设定为每年9.70%,按月支付,前提是满足有关标的指数价值的某些条件。这些票据自2024年8月16日起按月可赎回,由美国银行选择,不会在任何证券交易所上市。这些票据的初始估计价值为每1,000美元本金984.20美元,低于公开发行价格。这些票据受美银金融有限责任公司和美国银行公司的信用风险影响,所有付款均取决于标的指数的表现。
美国银行宣布了2027年5月18日到期的或有收益缓冲发行人可赎回收益票据的定价,该票据与罗素2000指数、标准普尔500指数和公用事业精选行业SPDR基金的表现挂钩。这些票据定价于2024年5月13日,将于2024年5月16日发行,期限约为3年,除非在到期前赎回。或有票面利率设定为每年9.70%,按月支付,前提是满足有关标的指数价值的某些条件。这些票据自2024年8月16日起按月可赎回,由美国银行选择,不会在任何证券交易所上市。这些票据的初始估计价值为每1,000美元本金984.20美元,低于公开发行价格。这些票据受美银金融有限责任公司和美国银行公司的信用风险影响,所有付款均取决于标的指数的表现。

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