Issuer:
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Bank of America Corporation | |
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Security:
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Depositary Shares each representing a 1/1000th interest in a share of Bank of America Corporation 6.204% Non-Cumulative Preferred Stock, Series D | |
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Ratings:
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A1 (Moodys) / A (S&P) / A+ (Fitch) | |
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Size:
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30,000,000 Depositary Shares | |
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Maturity:
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Perpetual | |
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Trade Date:
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September 6, 2006 | |
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Settlement Date:
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September 14, 2006 (DTC) (T+6) | |
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Dividend Rate (Non-Cumulative):
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6.204% (equivalent to $1.551 per depositary share) | |
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Dividend Payment Date:
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March 14, June 14, September 14 and December 14 of each year, beginning December 14, 2006 | |
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Redemption:
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On any Dividend Payment Date on or after September 14, 2011 (subject to limitations described in the prospectus supplement dated September 6, 2006) | |
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Public Offering Price:
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$25.00 per depositary share | |
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Underwriting Commissions:
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$7,500,000 |
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Net Proceeds (before expenses) to
Bank of America Corporation:
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$742,500,0000 | |
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Lead Manager:
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Banc of America Securities LLC | |
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Co-Managers:
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Bear, Stearns & Co. Inc. UBS Securities LLC Loop Capital Markets, LLC The Williams Capital Group, L.P. |
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Listing:
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NYSE | |
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CUSIP for the Depositary Shares:
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060505831 |
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