DEPOSIT AGREEMENT among BANK OF AMERICA CORPORATION, as Depository, and THE HOLDERS FROM TIME TO TIME OF THE DEPOSITARY RECEIPTS DESCRIBED HEREIN Dated as of [ ]Deposit Agreement • June 27th, 2018 • BAC Capital Trust XIV • National commercial banks • New York
Contract Type FiledJune 27th, 2018 Company Industry JurisdictionTHIS DEPOSIT AGREEMENT dated as of [ ] (this “Agreement”), among (i) BANK OF AMERICA CORPORATION, a Delaware corporation (the “Corporation”), (ii) [ ] (the “Depository”), and (iii) the Holders from time to time of the Receipts described in this Agreement.
AMENDED AND RESTATED SELLING AGENT AGREEMENT by and among Bank of America Corporation and the Agents named hereinSelling Agent Agreement • June 27th, 2018 • BAC Capital Trust XIV • National commercial banks • New York
Contract Type FiledJune 27th, 2018 Company Industry Jurisdiction[Any other terms and conditions agreed to by the Purchasing Agent and the Company, including, without limitation, a minimum denomination other than $1,000 and whether the Notes will be listed on an exchange.]
BANK OF AMERICA CORPORATION Medium-Term Notes, Series N DISTRIBUTION AGREEMENTTerms Agreement • June 27th, 2018 • BAC Capital Trust XIV • National commercial banks • New York
Contract Type FiledJune 27th, 2018 Company Industry Jurisdictionacknowledges it has received from the Company. Notwithstanding anything contained in the Distribution Agreement, each of the New Selling Agents shall be vested with all authority, rights, powers, duties and obligations of a Selling Agent in relation to the issue of the Notes as if originally named as a Selling Agent under the Distribution Agreement, provided that following the Settlement Date (as defined below) of the Notes, each of the New Selling Agents shall no longer be deemed to be a “Selling Agent” under the Distribution Agreement and shall have no further such authority, rights, powers, duties or obligations, except such as may have accrued or been incurred prior to, or in connection with, the issuance of the Notes.