Jonathan Perlman
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Bank of America €3.25 billion senior notes offering
The investment-grade debt offering consists of two tranches
Bank of America $10 billion floating-rate and fixed-to-floating-rate notes
The five-tranche investment-grade debt offering is based on the Secured Overnight Financing Rate
Bank of America $3.5 billion fixed-to-floating-rate subordinated notes
The investment-grade notes are due 2035
Bank of America $2.5 billion fixed-to-floating-rate subordinated notes
The investment-grade notes are due 2035
Bank of America $5 billion fixed-to-floating-rate notes
The investment-grade notes are due 2035