Bank of America 
100 North Tryon Street 
Charlotte, NC  28255 
Tel 704.386.5000

 

Pricing Supplement No. 0355 dated May 18, 2005 (To Prospectus dated April 14, 2004 and Prospectus Supplement dated April 15, 2004)

 

 

         Rule 424(b)(2)
        File Number 333-112708

Senior Medium-Term Notes, Series K

 

Principal Amount: 
 
 
Issue Price: 
Commission or Discount: 
Proceeds to Corporation:

 


 
 
                                     100.00% 
                                         0.00%
                                     100.00%

 

$  50,890,531.00 
 

$   50,890,531.00 
                     0.00
$   50,890,531.00 
 
 

Agent:

Banc of America Securities LLC
 

Original Issue Date: 

May 23, 2005
 

Stated Maturity Date:

November 5, 2020
 

Cusip #:

06050 MEX1
 

Form:

Book entry only
 

Minimum Denominations: The notes are issued in minimum denominations of $1,000 and $1 in excess of $1,000.
 

Interest Rate:

Fixed
 

Daycount Convention:

30/360
 

Base rate:  N/A
 
Index maturity: None
 
Spread: None
 

Initial Interest Rate:

5.04%
 

Interest Reset Period: None
 
Interest Reset Dates: None
 
Interest Determination Date: None
 

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.
 

May the Notes be redeemed by the Corporation prior to maturity? 
 

      No

May the Notes be repaid prior to maturity at the option of the holder?
 

      No 

Discount Note?

      No