Filed Pursuant to Rule 433
Registration No. 333-133852
BANK OF AMERICA CORPORATION
$100,000,000
REOPENING OF FLOATING RATE SENIOR NOTES, DUE SEPTEMBER 2012
FINAL TERM SHEET
Dated September 11, 2007
Issuer: |
Bank of America Corporation | |
Ratings: |
Aa1 (Moodys)/AA (S&P)/AA (Fitch) | |
Title of the Series: |
Floating Rate Senior Notes, due September 2012 | |
Aggregate Principal Amount Initially Issued on September 11, 2007 |
$550,000,000 | |
Additional Principal Amount to Be Issued in Reopening: |
$100,000,000 | |
Total Aggregate Principal Amount, After Giving Effect to the Reopening: |
$650,000,000 | |
Issue Price: |
100% (plus $5.1875 in accrued interest for each $5,000 in principal amount of the notes) | |
Trade Date of Reopening: |
September 11, 2007 | |
Settlement Date of Reopening: |
September 17, 2007 (DTC) | |
Maturity Date: |
September 11, 2012 | |
Ranking: |
Senior | |
Minimum Denominations: |
$5,000 and multiples of $5,000 in excess of $5,000 | |
Day Count Fraction: |
Actual/360 |
Record Dates: |
For book-entry only notes, one business day prior to the applicable interest payment date. | |
Base Rate: |
Three-Month LIBOR (Telerate) | |
Index Maturity: |
90 days | |
Spread: |
plus 50 bps | |
Interest Payment Dates: |
March 11, June 11, September 11 and December 11 of each year, beginning December 11, 2007. | |
Interest Periods: |
Quarterly. The initial interest period will be the period from, and including, September 11, 2007 to, but excluding, December 11, 2007, the initial interest payment date. The subsequent interest periods will be the periods from, and including, the applicable interest payment date to, but excluding, the next interest payment date or the Maturity Date. | |
Interest Determination Date: |
Second London banking day preceding the applicable interest reset date. | |
Interest Reset Dates: |
March 11, June 11, September 11 and December 11 of each year. | |
Optional Redemption: |
None | |
Conversion: |
The notes will not be convertible into any other notes or securities of the Issuer. | |
Listing: |
None | |
Calculation Agent: |
The Bank of New York Trust Company, N.A. | |
Lead Manager: |
Banc of America Securities LLC | |
Co-Managers: |
Bear, Stearns & Co. Inc. Deutsche Bank Securities Inc. Loop Capital Markets, LLC The Williams Capital Group, L.P. |
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CUSIP: |
060505 DJ0 | |
ISIN: |
US060505DJ00 |
The Issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the Issuer has filed with the SEC for more complete information about the Issuer and this offering. You may obtain these documents for free by visiting EDGAR on the SEC website at www.sec.gov. Alternatively, Bank of America Corporation or the lead underwriter will arrange to send you the prospectus if you request it by contacting Bank of America Corporation, Corporate Treasury Securities Administration, at 1-866-804-5241, or Banc of America Securities LLC, toll free at 1-800-294-1322. You may also request a copy by e-mail from securities.administration@bankofamerica.com or dg.prospectus_distribution@bofasecurities.com.
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