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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股sec公告 ·  06/19 04:49
牛牛AI助理已提取核心訊息
Bank of America Corporation (BAC) has issued $50,000,000 in Fixed Rate Callable Notes, with an interest rate of 5.55% per annum, due on December 18, 2025. The notes, which are senior unsecured debt securities, were priced on June 14, 2024, and will mature on December 18, 2025, unless redeemed earlier. Interest payments are scheduled quarterly starting September 18, 2024. BAC retains the right to redeem all notes on December 18, 2024, and on subsequent Call Dates, with the redemption price being the principal amount plus any accrued interest. The notes, in denominations of $1,000 and multiples thereof, will not be listed on any securities exchange and have a CUSIP number of 06055JEY1. Investors should note that the notes are not FDIC insured, not bank guaranteed, and may lose value. The offering price per note...Show More
Bank of America Corporation (BAC) has issued $50,000,000 in Fixed Rate Callable Notes, with an interest rate of 5.55% per annum, due on December 18, 2025. The notes, which are senior unsecured debt securities, were priced on June 14, 2024, and will mature on December 18, 2025, unless redeemed earlier. Interest payments are scheduled quarterly starting September 18, 2024. BAC retains the right to redeem all notes on December 18, 2024, and on subsequent Call Dates, with the redemption price being the principal amount plus any accrued interest. The notes, in denominations of $1,000 and multiples thereof, will not be listed on any securities exchange and have a CUSIP number of 06055JEY1. Investors should note that the notes are not FDIC insured, not bank guaranteed, and may lose value. The offering price per note is 100% of the principal amount, with an underwriting discount of 0.15%, resulting in proceeds to BAC of 99.85% of the principal before expenses. The notes are subject to credit risk and changes in BAC's creditworthiness could affect the notes' market value. The notes will be delivered in book-entry form through The Depository Trust Company on June 18, 2024.
美國銀行公司(BAC)發行了5000萬美元的固定利率可贖回債券,年利率爲5.55%,於2025年12月18日到期。這些票據爲高級無抵押債務證券,於2024年6月14日定價,於2025年12月18日到期,除非提前贖回。計劃從2024年9月18日開始每季度支付利息。BAC保留於2024年12月18日和隨後的看漲日期贖回所有債券的權利,贖回價格爲本金加上任何應計利息。這些票據以1000美元及其倍數的面額發行,不會在任何證券交易所上市,CUSIP號爲06055JEY1。投資者應注意,這些票據不受FDIC保險,不受銀行保證,可能會貶值。每張票據的發行價格爲本金的100%,承銷折扣爲0.15%,因此美國銀行的獲得的票據淨收益爲本金的99.85%,在扣除支出前。這些票據面臨信用風險,BAC信用狀況的改變可能會影響票據的市場價值。這些票據將以銀行簿記形式通過託管信託公司在2024年6月18日交付。
美國銀行公司(BAC)發行了5000萬美元的固定利率可贖回債券,年利率爲5.55%,於2025年12月18日到期。這些票據爲高級無抵押債務證券,於2024年6月14日定價,於2025年12月18日到期,除非提前贖回。計劃從2024年9月18日開始每季度支付利息。BAC保留於2024年12月18日和隨後的看漲日期贖回所有債券的權利,贖回價格爲本金加上任何應計利息。這些票據以1000美元及其倍數的面額發行,不會在任何證券交易所上市,CUSIP號爲06055JEY1。投資者應注意,這些票據不受FDIC保險,不受銀行保證,可能會貶值。每張票據的發行價格爲本金的100%,承銷折扣爲0.15%,因此美國銀行的獲得的票據淨收益爲本金的99.85%,在扣除支出前。這些票據面臨信用風險,BAC信用狀況的改變可能會影響票據的市場價值。這些票據將以銀行簿記形式通過託管信託公司在2024年6月18日交付。

譯文內容由第三人軟體翻譯。


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