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424B2: Prospectus

424B2: Prospectus

424B2:募資說明書
美股sec公告 ·  06/19 05:05
牛牛AI助理已提取核心訊息
Bank of America Corporation (BofA Finance) has announced the pricing of its Fixed Income Issuer Callable Yield Notes, linked to the performance of the Nasdaq-100 Index, the Russell 2000 Index, and the S&P 500 Index, due June 20, 2025. The notes, priced on June 14, 2024, will be issued on June 20, 2024, with an approximate 12-month term, unless called prior to maturity. The notes offer a fixed coupon rate of 8.44% per annum, payable monthly, and are callable monthly at the issuer's option beginning December 19, 2024. The redemption amount at maturity is subject to the performance of the least performing underlying index, with a potential loss of up to 100% of the principal if any underlying index declines by more than 30% from its starting value. Payments on the...Show More
Bank of America Corporation (BofA Finance) has announced the pricing of its Fixed Income Issuer Callable Yield Notes, linked to the performance of the Nasdaq-100 Index, the Russell 2000 Index, and the S&P 500 Index, due June 20, 2025. The notes, priced on June 14, 2024, will be issued on June 20, 2024, with an approximate 12-month term, unless called prior to maturity. The notes offer a fixed coupon rate of 8.44% per annum, payable monthly, and are callable monthly at the issuer's option beginning December 19, 2024. The redemption amount at maturity is subject to the performance of the least performing underlying index, with a potential loss of up to 100% of the principal if any underlying index declines by more than 30% from its starting value. Payments on the notes are subject to the credit risk of BofA Finance and Bank of America Corporation. The notes will not be listed on any securities exchange and have a CUSIP No. 09711DZD7. The initial estimated value of the notes is $993.00 per $1,000.00 in principal amount, which is less than the public offering price. The total offering size is $69,922,000.00, with an underwriting discount of $174,805.00, resulting in proceeds before expenses to BofA Finance of $69,747,195.00.
美國銀行公司(BofA Finance)宣佈定價其固收發行人可贖回收益票據,與那斯達克100指數、羅素2000指數和S&P 500指數的表現掛鉤,到期日爲2025年6月20日。票據於2024年6月14日定價,並將於2024年6月20日發行,期限約爲12個月,除非到期前贖回。票據提供8.44%的固定票面利率,按月支付,自2024年12月19日起發行人可每月贖回。到期贖回金額取決於表現最差的基礎指數,如果任何基礎指數下降超過其起始價值的30%,則可能損失所投本金的100%。票據的支付受BofA Finance和美國銀行公司的信用風險影響。票據不會在任何證券交易所上市,並且有CUSIP編號09711DZD7。票據的初始估值爲每1000美元本金993.00美元,低於發行價格。發行總規模爲69,922,000.00美元,扣除承銷折扣174,805.00美元,BofA Finance實際獲得收益69,747,195.00美元(扣除費用)。
美國銀行公司(BofA Finance)宣佈定價其固收發行人可贖回收益票據,與那斯達克100指數、羅素2000指數和S&P 500指數的表現掛鉤,到期日爲2025年6月20日。票據於2024年6月14日定價,並將於2024年6月20日發行,期限約爲12個月,除非到期前贖回。票據提供8.44%的固定票面利率,按月支付,自2024年12月19日起發行人可每月贖回。到期贖回金額取決於表現最差的基礎指數,如果任何基礎指數下降超過其起始價值的30%,則可能損失所投本金的100%。票據的支付受BofA Finance和美國銀行公司的信用風險影響。票據不會在任何證券交易所上市,並且有CUSIP編號09711DZD7。票據的初始估值爲每1000美元本金993.00美元,低於發行價格。發行總規模爲69,922,000.00美元,扣除承銷折扣174,805.00美元,BofA Finance實際獲得收益69,747,195.00美元(扣除費用)。

譯文內容由第三人軟體翻譯。


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