Bank of America
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Pricing Supplement No. 0355 dated May 18, 2005 (To Prospectus dated April 14, 2004 and Prospectus Supplement dated April 15, 2004)
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Rule
424(b)(2) |
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Senior Medium-Term Notes, Series K |
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Principal Amount: |
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$ 50,890,531.00
$ 50,890,531.00 |
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Agent: |
Banc of America Securities LLC |
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Original Issue Date: |
May 23, 2005 |
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Stated Maturity Date: |
November 5, 2020 |
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Cusip #: |
06050 MEX1 |
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Form: |
Book entry only |
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Minimum Denominations: |
The notes are issued in minimum
denominations of $1,000 and $1 in excess of $1,000. |
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Interest Rate: |
Fixed |
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Daycount Convention: |
30/360 |
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Base rate: |
N/A |
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Index maturity: |
None |
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Spread: |
None |
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Initial Interest Rate: |
5.04% |
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Interest Reset Period: |
None |
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Interest Reset Dates: |
None |
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Interest Determination Date: |
None |
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Interest Payment Dates: |
The 29th of each May and November,
commencing on November 29, 2005 and ending with the interest payment on the
Stated Maturity Date. |
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May the Notes be redeemed by the Corporation prior to
maturity? |
No |
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May the Notes be repaid prior to maturity at the option of
the holder? |
No |
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Discount Note? |
No |
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