CUSIP
Number |
Resale
Price |
Gross
Concession |
Net
Proceeds |
Coupon
Rate |
Coupon
Frequency |
Maturity Date* | 1st Coupon Date** | Coupon
Amount |
Survivor's
Option |
Product
Ranking |
Moody's
Rating |
S & P
Rating |
06050XAY9 | 100% | 2.000% | $34,528,340.00 | 6.800% | Monthly | 5/15/2016 | 6/15/2001 | $7.93 | YES | Subordinated
Unsecured
Notes |
Aa3 | A |
Redemption Information: *Callable at 100.000% on 5/15/2004 and every coupon date thereafter.
*The Internotes(sm) will be subject
to redemption at the option of Bank of America Corporation, in whole, on
the Interest Payment Date occurring 5/15/2004 and on and Interest Payment
Date thereafter at a redemption price equal to 100% of the principal amount
of the InterNotes(sm), plus accrued interest threon, if any, upon at least
30 days prior notice to the Noteholder and the Trustee, as described in
the Prospectus.
CUSIP
Number |
Resale
Price |
Gross
Concession |
Net
Proceeds |
Coupon
Rate |
Coupon
Frequency |
Maturity
Date* |
1st Coupon Date** | 1st Coupon
Amount |
Survivor's
Option |
Product
Ranking |
Moody's
Rating |
S & P
Rating |
06050XAZ6 | 100% | 2.500% | $3,467,100.00 | 6.900% | Semi-annually | 5/15/2021 | 11/15/2001 | $36.80 | YES | Subordinated
Unsecured
Notes |
Aa3 | A |
Redemption Information: *Callable at 100.000% on 5/15/2005 and every coupon date thereafter.
*The Internotes(sm) will be subject
to redemption at the option of Bank of America Corporation, in whole, on
the Interest Payment Date occurring 5/15/2005 and on and Interest Payment
Date thereafter at a redemption price equal to 100% of the principal amount
of the InterNotes(sm), plus accrued interest threon, if any, upon at least
30 days prior notice to the Noteholder and the Trustee, as described in
the Prospectus.
CUSIP
Number |
Resale
Price |
Gross
Concession |
Net
Proceeds |
Coupon
Rate |
Coupon
Frequency |
Maturity Date* | 1st Coupon Date** | 1st Coupon
Amount |
Survivor's
Option |
Product
Ranking |
Moody's
Rating |
S & P
Rating |
06050XBA0 | 100% | 2.500% | $24,068,850.00 | 7.000% | Semi-annually | 5/15/2026 | 11/15/2001 | $37.33 | YES | Subordinated
Unsecured
Notes |
Aa3 | A |
Redemption Information: *Callable at 100.000% on 5/15/2006 and every coupon date thereafter.
*The Internotes(sm) will be subject to redemption at the option of Bank of America Corporation, in whole, on the Interest Payment Date occurring 5/15/2006 and on and Interest Payment Date thereafter at a redemption price equal to 100% of the principal amount of the InterNotes(sm), plus accrued interest threon, if any, upon at least 30 days prior notice to the Noteholder and the Trustee, as described in the Prospectus.
**If the maturity date or an interest
payment date for any note is not a Business Day (as term is defined in
Prospectus), principal, premium, if any, and interest for that note is
paid on the next Business Day, and no interest will accrue from, and after,
the maturity date or interest payment date.
Bank of America Corporation
|
Trade Date:
Monday, April 30, 2001 @12:00 PM ET
Settlement Date: Thursday, May 03, 2001 @03:30 PM ET Minimum Denomination/Increments: $1000.00/$1000.00 All trade settle flat and clear SDFS: DTC Book Entry only DTC number: 0262 via BNY Clearing Services, LLC InterNotes(sm) is the service mark of Incapital, LLC. All rights reserved |
Bank of America Corporation
$3,000,000,000 InterNotes(sm) Prospectus Dated 22-Jan-01 Page 1 of 1 |