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12 similar Underwriting Agreement contracts by Bank of America Corp /De/

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $1,200,000,000 Floating Rate Callable Senior Notes, due December 2010
Underwriting Agreement • December 13th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto. Such securities may include one or more series of the Company's senior debt securities (the "Senior Securities") and/or one or more series of the Company's subordinated debt securities (the "Subordinated Securities," and together with the Senior Securities, the "Securities"). The Senior Securities, if applicable, will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004

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BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT
Underwriting Agreement • December 4th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto. Such securities may include one or more series of the Company's senior debt securities (the "Senior Securities") and/or one or more series of the Company's subordinated debt securities (the "Subordinated Securities," and together with the Senior Securities, the "Securities"). The Senior Securities, if applicable, will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $350,000,000 Reopening of 5.375% Senior Notes, due September 2012
Underwriting Agreement • September 18th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto. Such securities may include one or more series of the Company's senior debt securities (the "Senior Securities") and/or one or more series of the Company's subordinated debt securities (the "Subordinated Securities," and together with the Senior Securities, the "Securities"). The Senior Securities, if applicable, will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $100,000,000 Reopening of Floating Rate Senior Notes, due September 2012
Underwriting Agreement • September 18th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto. Such securities may include one or more series of the Company's senior debt securities (the "Senior Securities") and/or one or more series of the Company's subordinated debt securities (the "Subordinated Securities," and together with the Senior Securities, the "Securities"). The Senior Securities, if applicable, will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $125,000,000 Second Reopening of Floating Rate Senior Notes, due September 2012
Underwriting Agreement • September 18th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto. Such securities may include one or more series of the Company's senior debt securities (the "Senior Securities") and/or one or more series of the Company's subordinated debt securities (the "Subordinated Securities," and together with the Senior Securities, the "Securities"). The Senior Securities, if applicable, will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $650,000,000 5.375% Senior Notes, due September 2012 $550,000,000 Floating Rate Senior Notes, due September 2012 $500,000,000 6.50% Subordinated Notes, due September 2037
Underwriting Agreement • September 11th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto. Such securities may include one or more series of the Company's senior debt securities (the "Senior Securities") and/or one or more series of the Company's subordinated debt securities (the "Subordinated Securities," and together with the Senior Securities, the "Securities"). The Senior Securities, if applicable, will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $1,500,000,000, 6.00% SENIOR NOTES, DUE SEPTEMBER 2017
Underwriting Agreement • August 23rd, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto (the "Securities"). The Securities will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004, and the Fourth Supplemental Indenture dated April 28, 2006 (as so supplemented, the "Indenture"). The Securities are described more fully in the Prospectus referred to below. If the firm or firms listed in Schedule II hereto include only the firm or firms listed in Schedule I he

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $2,250,000,000, FLOATING RATE SENIOR NOTES, DUE AUGUST 2010
Underwriting Agreement • August 15th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto (the "Securities"). The Securities will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004, and the Fourth Supplemental Indenture dated April 28, 2006 (as so supplemented, the "Indenture"). The Securities are described more fully in the Prospectus referred to below. If the firm or firms listed in Schedule II hereto include only the firm or firms listed in Schedule I he

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $2,250,000,000 Floating Rate Callable Senior Notes, due May 2010
Underwriting Agreement • May 23rd, 2007 • Bank of America Corp /De/ • National commercial banks • New York

Bank of America Corporation, a Delaware corporation (the "Company"), proposes to sell to the underwriters named in Schedule II hereto (the "Underwriters"), for whom you are acting as Representatives (the "Representatives"), the principal amount of one or more series of its securities identified in Schedule I hereto (the "Securities"). The Securities will be issued under an indenture dated as of January 1, 1995 between the Company and The Bank of New York Trust Company, N.A., as successor trustee (the "Trustee"), as supplemented by the First Supplemental Indenture dated as of September 18, 1998, the Second Supplemental Indenture dated as of May 7, 2001, the Third Supplemental Indenture dated as of July 28, 2004, and the Fourth Supplemental Indenture dated April 28, 2006 (as so supplemented, the "Indenture"). The Securities are described more fully in the Prospectus referred to below. If the firm or firms listed in Schedule II hereto include only the firm or firms listed in Schedule I he

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $2,000,000,000 FLOATING RATE CALLABLE SENIOR NOTES, DUE FEBRUARY 2010
Underwriting Agreement • February 16th, 2007 • Bank of America Corp /De/ • National commercial banks • New York

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.

BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $1,750,000,000 FLOATING RATE CALLABLE SENIOR NOTES, DUE NOVEMBER 2009
Underwriting Agreement • November 6th, 2006 • Bank of America Corp /De/ • National commercial banks • New York
BANK OF AMERICA CORPORATION UNDERWRITING AGREEMENT $1,250,000,000, 5.625% SENIOR NOTES, DUE OCTOBER 2016 $600,000,000 FLOATING RATE SENIOR NOTES, DUE OCTOBER 2016
Underwriting Agreement • October 27th, 2006 • Bank of America Corp /De/ • National commercial banks • New York

Interest Periods: Semi-annually. The initial interest period will be the period from, and including, October 26, 2006 to, but excluding, April 14, 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.

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