<SEC-DOCUMENT>0001918704-25-020974.txt : 20251202
<SEC-HEADER>0001918704-25-020974.hdr.sgml : 20251202
<ACCEPTANCE-DATETIME>20251202154509
ACCESSION NUMBER:		0001918704-25-020974
CONFORMED SUBMISSION TYPE:	424B2
PUBLIC DOCUMENT COUNT:		23
FILED AS OF DATE:		20251202
DATE AS OF CHANGE:		20251202

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			BofA Finance LLC
		CENTRAL INDEX KEY:			0001682472
		STANDARD INDUSTRIAL CLASSIFICATION:	NATIONAL COMMERCIAL BANKS [6021]
		ORGANIZATION NAME:           	02 Finance
		EIN:				813167494
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		424B2
		SEC ACT:		1933 Act
		SEC FILE NUMBER:	333-268718-01
		FILM NUMBER:		251542971

	BUSINESS ADDRESS:	
		STREET 1:		100 NORTH TRYON STREET
		STREET 2:		NC1-007-06-10
		CITY:			CHARLOTTE
		STATE:			NC
		ZIP:			28202
		BUSINESS PHONE:		704-386-4175

	MAIL ADDRESS:	
		STREET 1:		100 NORTH TRYON STREET
		STREET 2:		NC1-007-06-10
		CITY:			CHARLOTTE
		STATE:			NC
		ZIP:			28202

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			BANK OF AMERICA CORP /DE/
		CENTRAL INDEX KEY:			0000070858
		STANDARD INDUSTRIAL CLASSIFICATION:	NATIONAL COMMERCIAL BANKS [6021]
		ORGANIZATION NAME:           	02 Finance
		EIN:				560906609
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		424B2
		SEC ACT:		1933 Act
		SEC FILE NUMBER:	333-268718
		FILM NUMBER:		251542972

	BUSINESS ADDRESS:	
		STREET 1:		BANK OF AMERICA CORPORATE CENTER
		STREET 2:		100 N TRYON ST
		CITY:			CHARLOTTE
		STATE:			NC
		ZIP:			28255
		BUSINESS PHONE:		7043868486

	MAIL ADDRESS:	
		STREET 1:		BANK OF AMERICA CORPORATE CENTER
		STREET 2:		100 N TRYON ST
		CITY:			CHARLOTTE
		STATE:			NC
		ZIP:			28255

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	BANKAMERICA CORP/DE/
		DATE OF NAME CHANGE:	19981022

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	NATIONSBANK CORP
		DATE OF NAME CHANGE:	19920703

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	NCNB CORP
		DATE OF NAME CHANGE:	19920107
</SEC-HEADER>
<DOCUMENT>
<TYPE>424B2
<SEQUENCE>1
<FILENAME>form424b2.htm
<DESCRIPTION>424B2
<TEXT>
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<font style="font-size:12pt;font-family:'Helvetica',Times,serif;">Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup>&nbsp;Fund</font>

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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">The Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup>&nbsp;Fund, due December 2, 2027 (the &#8220;Notes&#8221;) priced on November 28, 2025 and will issue on December 3, 2025.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">Approximate 2 year term if not called prior to maturity.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">Payments on the Notes will depend on the individual performance of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup>&nbsp;Fund (each an &#8220;Underlying&#8221;).</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">Contingent coupons payable monthly if the Observation Value of <b>each </b>Underlying on the applicable Observation Date is greater than or equal to its applicable Coupon Barrier, assuming the Notes have not been called. The Coupon Barriers are indicated on page PS-2. The coupon per $1,000.00 in principal amount of Notes payable on the related Contingent Payment Date, if applicable, will equal (i) the <i>product</i> of $9.00<i> times </i>the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) <i>minus</i>&nbsp;(ii) the sum of all Contingent Coupon Payments previously paid.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">Beginning on February 2, 2026, callable monthly at our option for an amount equal to the principal amount plus the relevant Contingent Coupon Payment, if otherwise payable.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">Assuming the Notes are not called prior to maturity, if <b>any </b>Underlying declines by more than 25% from its Starting Value, at maturity your investment will be exposed on a leveraged basis to any decrease in the value of the Least Performing Underlying beyond a 25% decline, with up to 100% of the principal at risk; otherwise, at maturity, you will receive the principal amount. At maturity you will also receive a final Contingent Coupon Payment if the Observation Value of <b>each&nbsp;</b>Underlying on the final Observation Date is greater than or equal to 75.00% of its Starting Value.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">All payments on the Notes are subject to the credit risk of BofA Finance LLC (&#8220;BofA Finance&#8221; or the &#8220;Issuer&#8221;), as issuer of the Notes, and Bank of America Corporation (&#8220;BAC&#8221; or the &#8220;Guarantor&#8221;), as guarantor of the Notes.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">The Notes will not be listed on any securities exchange.</font>
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    <div style =" text-align:justify;"><font style="font-size:7.5pt;color:#58595B;font-family:'Helvetica',Times,serif;">CUSIP No. 09711KHP4.</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>The initial estimated value of the Notes as of the pricing date is $994.40 per $1,000.00 in principal amount of Notes, which is less than the public offering price listed below.</b> The actual value of your Notes at any time will reflect many factors and cannot be predicted with accuracy. See &#8220;Risk Factors&#8221; beginning on page PS-12 of this pricing supplement and &#8220;Structuring the Notes&#8221; on page PS-29&nbsp;of this pricing supplement for additional information.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><i>There are important differences between the Notes and a conventional debt security. Potential purchasers of the Notes should consider the information in &#8220;Risk Factors&#8221; beginning on page PS-</i></b><b></b><b></b><b></b><b><i>12</i></b><b></b><b><i>&nbsp;of this pricing supplement, page PS-5 of the accompanying product supplement, page S-6 of the accompanying prospectus supplement, and page 7 of the accompanying prospectus.</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">None of the Securities and Exchange Commission (the &#8220;SEC&#8221;), any state securities commission, or any other regulatory body has approved or disapproved of these securities or determined if this pricing supplement and the accompanying product supplement, prospectus supplement and prospectus is truthful or complete. Any representation to the contrary is a criminal offense.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Public Offering Price<sup>(1)</sup></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Underwriting Discount<sup>(1)(2)(3)</sup></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Proceeds, before expenses, to BofA Finance<sup>(2)</sup></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Per Note</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,000.00</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$0.60</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$999.40</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Total</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$22,244,000.00</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$13,346.40</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$22,230,653.60</font>

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    <div style =""><font style="font-size:8pt;color:#939598;font-family:'Helvetica',Times,serif;">(1)</font>&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:justify;"><font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Certain dealers who purchase the Notes for sale to certain fee-based advisory accounts may forgo some or all of their selling concessions, fees or commissions. The public offering price for investors purchasing the Notes in these fee-based advisory accounts may be as low as $999.40 per $1,000.00 in principal amount of Notes.</font>
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    <div style =""><font style="font-size:8pt;color:#939598;font-family:'Helvetica',Times,serif;">(2)</font>&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:justify;"><font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The underwriting discount per $1,000.00 in principal amount of Notes may be as high as $0.60, resulting in proceeds, before expenses, to BofA Finance of as low as $999.40 per $1,000.00 in principal amount of Notes. The total underwriting discount and proceeds, before expenses, to BofA Finance specified above reflect the aggregate of the underwriting discounts per $1,000.00 in principal amount of Notes.</font>
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    <div style =""><font style="font-size:8pt;color:#939598;font-family:'Helvetica',Times,serif;">(3)</font>&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:justify;"><font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In addition to the underwriting discount above, if any, an affiliate of BofA Finance will pay a referral fee of up to $1.40 per $1,000.00 in principal amount of the Notes in connection with the distribution of the Notes to other registered broker-dealers.</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>The Notes and the related guarantee:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Are Not FDIC Insured</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Are not Bank Guaranteed</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May Lose Value</font>

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     <img src="image_003.jpg" ALT="" style="width:257px;height:27px; border: solid 0px #000000">

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b>Selling Agent</b></font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Terms of the Notes</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Issuer:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">BofA Finance</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Guarantor:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">BAC</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Denominations:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">The Notes will be issued in minimum denominations of $1,000.00 and whole multiples of $1,000.00 in excess thereof.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Term:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">Approximately 2 years, unless previously called.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Underlyings:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">The Nasdaq-100<sup>&#174;</sup> Index (Bloomberg symbol: &#8220;NDX&#8221;), a price return index, the Russell 2000<sup>&#174;</sup> Index (Bloomberg symbol: &#8220;RTY&#8221;), a price return index and the Utilities Select Sector SPDR<sup>&#174;</sup>&nbsp;Fund (Bloomberg symbol: &#8220;XLU&#8221;).</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Pricing Date:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">November 28, 2025</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Issue Date:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">December 3, 2025</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Valuation Date:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">November 29, 2027, subject to postponement as described under &#8220;Description of the Notes&#8212;Certain Terms of the Notes&#8212;Events Relating to Observation Dates&#8221; in the accompanying product supplement.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Maturity Date:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">December 2, 2027</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Starting Value:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">NDX: 25,434.89</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">RTY: 2,500.434</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">XLU: $90.63</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Observation Value:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the NDX, its closing level on the applicable Observation Date.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the RTY, its closing level on the applicable Observation Date.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the XLU, its Closing Market Price on the applicable Observation Date, multiplied by its Price Multiplier.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Ending Value:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to each Underlying, its Observation Value on the Valuation Date.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Price Multiplier:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the XLU, 1, subject to adjustment for certain events relating to that Underlying as described in &#8220;Description of the Notes &#8212; Anti-Dilution and Discontinuance Adjustments Relating to ETFs&#8221; beginning on page PS-28 of the accompanying product supplement.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Coupon Barriers:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the first Observation Date:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">NDX: 21,619.66, which is 85.00% of its Starting Value (rounded to two decimal places).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">RTY: 2,125.369, which is 85.00% of its Starting Value (rounded to three decimal places).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">XLU: $77.04, which is 85.00% of its Starting Value (rounded to two decimal places).</font>

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    </div>


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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the second Observation Date:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">NDX: 20,347.91, which is 80.00% of its Starting Value (rounded to two decimal places).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">RTY: 2,000.347, which is 80.00% of its Starting Value (rounded to three decimal places).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">XLU: $72.50, which is 80.00% of its Starting Value (rounded to two decimal places).</font>

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    <div style="text-align:left;padding-left:7px;padding-right:7px; margin-top:6px;margin-bottom:6px;border-width:1px 1px 1px 1px; border-style:none none none none;">


    </div>


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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to the third through twenty-fourth Observation Dates:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">NDX: 19,076.17, which is 75.00% of its Starting Value (rounded to two decimal places).</font>

    </div>


    <div style="text-align:left;padding-left:7px;padding-right:7px; margin-top:6px;margin-bottom:6px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">RTY: 1,875.326, which is 75.00% of its Starting Value (rounded to three decimal places).</font>

    </div>


    <div style="text-align:left;padding-left:7px;padding-right:7px; margin-top:6px;margin-bottom:6px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">XLU: $67.97, which is 75.00% of its Starting Value (rounded to two decimal places).</font>

    </div>


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     <img src="image_001.jpg" ALT="" style="width:53px;height:27px; border: solid 0px #000000">

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">2</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style="text-align:left; border-width:1px 1px 1px 1px; border-style:none none none none;"><font style="font-size:11pt;font-family:'Arial',Times,serif;"></font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Threshold Rate:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">The <i>quotient&nbsp;</i>of the Starting Value of the Least Performing Underlying divided by its Threshold Value (expressed as a percentage), which equals approximately 133.33333%</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Threshold Value:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">NDX: 19,076.17, which is 75.00% of its Starting Value (rounded to two decimal places).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">RTY: 1,875.326, which is 75.00% of its Starting Value (rounded to three decimal places).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">XLU: $67.97, which is 75.00% of its Starting Value (rounded to two decimal places).</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Contingent Coupon Payment (with Memory Feature):</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">If, on any monthly Observation Date, the Observation Value of <b>each </b>Underlying is greater than or equal to its applicable Coupon Barrier, we will pay a Contingent Coupon Payment per $1,000.00 in principal amount of Notes on the applicable Contingent Payment Date (including the Maturity Date) equal to (i) the <i>product</i> of $9.00<i> times </i>the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) <i>minus</i>&nbsp;(ii) the sum of all Contingent Coupon Payments previously paid.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Optional Early Redemption:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">On any monthly Call Payment Date, we have the right to redeem all (but not less than all) of the Notes at the Early Redemption Amount. No further amounts will be payable following an Optional Early Redemption. We will give notice to the trustee at least five business days but not more than 60 calendar days before the applicable Call Payment Date.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Early Redemption Amount:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">For each $1,000.00 in principal amount of Notes, $1,000.00, plus the applicable Contingent Coupon Payment if the Observation Value of each Underlying on the corresponding Observation Date is greater than or equal to its applicable&nbsp;Coupon Barrier.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Redemption Amount:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">If the Notes have not been called prior to maturity, the Redemption Amount per $1,000.00 in principal amount of Notes will be:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">a) If the Ending Value of the Least Performing Underlying is greater than or equal to its Threshold Value:</font>

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     <img src="image_004.jpg" ALT="" style="width:59px;height:12px; border: solid 0px #000000">

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">b) If the Ending Value of the Least Performing Underlying is less than its Threshold Value:</font>

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     <img src="image_005.jpg" ALT="" style="width:413px;height:39px; border: solid 0px #000000">

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    <div style="text-align:left;padding-left:16px;padding-right:7px; margin-top:6px;margin-bottom:6px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">In this case, the Redemption Amount (excluding any final Contingent Coupon Payment) will be less than the principal amount and you could lose up to 100.00% of your investment in the Notes.</font>

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    <div style="text-align:left;padding-left:7px;padding-right:7px; margin-top:6px;margin-bottom:6px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">The Redemption Amount will also include a final Contingent Coupon Payment if the Ending Value of the Least Performing Underlying is greater than or equal to its applicable&nbsp;Coupon Barrier.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Observation Dates:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">As set forth beginning on page PS-5</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Contingent Payment Dates:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">As set forth beginning on page PS-5</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Call Payment Dates:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">As set forth beginning on page PS-6. Each Call Payment Date is also a Contingent Payment Date.</font>

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   <td  colspan="1"  width="13%"  rowspan="1"  bgcolor="#0080FF"  valign="top"  style = "border-top:1px solid #FFFFFF;  " >
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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Calculation Agent:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">BofA Securities, Inc. (&#8220;BofAS&#8221;), an affiliate of BofA Finance.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Selling Agent:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">BofAS</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>CUSIP:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">09711KHP4</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Underlying Return:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">With respect to each Underlying,</font>

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     <img src="image_006.jpg" ALT="" style="width:159px;height:28px; border: solid 0px #000000">

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     <img src="image_001.jpg" ALT="" style="width:53px;height:27px; border: solid 0px #000000">

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">3</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Least Performing Underlying:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">The Underlying with the lowest Underlying Return.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Arial',Times,serif;"><b>Events of Default and Acceleration:</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Arial',Times,serif;">If an Event of Default, as defined in the senior indenture relating to the Notes and in the section entitled &#8220;Description of Debt Securities of BofA Finance LLC&#8212;Events of Default and Rights of Acceleration; Covenant Breaches&#8221; on page 54 of the accompanying prospectus, with respect to the Notes occurs and is continuing, the amount payable to a holder of the Notes upon any acceleration permitted under the senior indenture will be equal to the amount described under the caption &#8220;Redemption Amount&#8221; above, calculated as though the date of acceleration were the Maturity Date of the Notes and as though the Valuation Date were the third Trading Day prior to the date of acceleration. We will also determine whether a final Contingent Coupon Payment is payable based upon the values of the Underlyings on the deemed Valuation Date; any such final Contingent Coupon Payment will be prorated by the calculation agent to reflect the length of the final contingent payment period. In case of a default in the payment of the Notes, whether at their maturity or upon acceleration, the Notes will not bear a default interest rate.</font>

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     <img src="image_001.jpg" ALT="" style="width:53px;height:27px; border: solid 0px #000000">

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">4</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Observation Dates, Contingent Payment Dates and Call Payment Dates</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Observation Dates*</b></font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Contingent Payment Dates</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 29, 2025</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">January 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">January 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">February 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 5, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 30, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">April 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">April 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May 1, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">June 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">June 29, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 31, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">August 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">September 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">September 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">October 1, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">October 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">November 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">November 30, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 3, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 28, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 31, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">January 28, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">February 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 1, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 4, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 29, 2027</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6; border-left:1px solid #A6A6A6;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">April 1, 2027</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">April 28, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May 3, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May 28, 2027</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6; border-left:1px solid #A6A6A6;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">June 3, 2027</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">June 28, 2027</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6; border-left:1px solid #A6A6A6;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 1, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 28, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">August 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">August 30, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">September 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">September 28, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">October 1, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">October 28, 2027</font>

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    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">November 2, 2027</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6;  " >
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">November 29, 2027 (the &#8220;Valuation Date&#8221;)</font>

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   <td  colspan="1"  width="50%"  rowspan="1"  valign="top"  style = "border-top:1px solid #A6A6A6; border-left:1px solid #A6A6A6;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 2, 2027 (the &#8220;Maturity Date&#8221;)</font>

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</table>
    <div style="text-align:left; margin-top:10px;margin-bottom:10px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">* The Observation Dates are subject to postponement as set forth in &#8220;Description of the Notes&#8212;Certain Terms of the Notes&#8212;Events Relating to Observation Dates&#8221; beginning on page PS-23 of the accompanying product supplement.</font>

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    <div style="text-align:left; border-width:1px 1px 1px 1px; border-style:none none none none;">

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     <img src="image_001.jpg" ALT="" style="width:53px;height:27px; border: solid 0px #000000">

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">5</font>

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    <div style="text-align:left;padding-left:7px;padding-right:7px; border-width:1px 1px 1px 1px; border-style:none none none none;">


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    <div style="text-align:left; border-width:1px 1px 1px 1px; border-style:none none none none;">

    </div>

<hr size='5' noshade width='100%' style='page-break-before: always;' >
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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style="text-align:left; margin-top:8px;margin-bottom:8px;border-width:1px 1px 1px 1px; border-style:none none none none;">
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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Call Payment Dates</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">February 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 5, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">April 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May 1, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">June 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 31, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">September 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">October 1, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">November 2, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 3, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">December 31, 2026</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">February 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">March 4, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">April 1, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">May 3, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">June 3, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">July 1, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">August 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">September 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">October 1, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">November 2, 2027</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Any payments on the Notes depend on the credit risk of BofA Finance, as Issuer, and BAC, as Guarantor, and on the performance of the Underlyings. The economic terms of the Notes are based on BAC&#8217;s internal funding rate, which is the rate it would pay to borrow funds through the issuance of market-linked notes, and the economic terms of certain related hedging arrangements BAC&#8217;s affiliates enter into. BAC&#8217;s internal funding rate is typically lower than the rate it would pay when it issues conventional fixed or floating rate debt securities. This difference in funding rate, as well as the underwriting discount, if any, the referral fee and the hedging related charges described below (see &#8220;Risk Factors&#8221; beginning on page PS-12), reduced the economic terms of the Notes to you and the initial estimated value of the Notes. Due to these factors, the public offering price you are paying to purchase the Notes is greater than the initial estimated value of the Notes as of the pricing date.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The initial estimated value of the Notes as of the pricing date is set forth on the cover page of this pricing supplement. For more information about the initial estimated value and the structuring of the Notes, see &#8220;Risk Factors&#8221; beginning on page PS-12&nbsp;and &#8220;Structuring the Notes&#8221; on page PS-29.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">6</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Contingent Coupon Payment and Redemption Amount Determination</font>

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<font style="font-size:8pt;color:#FF0000;font-family:'Helvetica',Times,serif;"><b>On each Contingent Payment Date, if the Notes have not been previously called, you may receive a</b></font>

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<font style="font-size:8pt;color:#FF0000;font-family:'Helvetica',Times,serif;"><b>Contingent Coupon Payment per $1,000.00 in principal amount of Notes determined as follows:</b></font>

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<font style="font-size:8pt;color:#FF0000;font-family:'Helvetica',Times,serif;"><b>Assuming the Notes have not been called,</b></font><font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">&nbsp;</font><font style="font-size:8pt;color:#FF0000;font-family:'Helvetica',Times,serif;"><b>on the Maturity Date, you will receive a cash payment per $1,000.00 in principal amount of Notes determined as follows:</b></font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">7</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">All payments described above are subject to the credit risk of BofA Finance, as Issuer, and BAC, as Guarantor.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">8</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Total Contingent Coupon Payment Examples</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The examples below illustrate the hypothetical total Contingent Coupon Payments per $1,000.00 in principal amount of Notes over the term of the Notes, based on the Contingent Coupon Payment per $1,000.00 in principal amount of Notes equal to (i) the <i>product</i> of $9.00<i> times </i>the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) <i>minus</i> (ii) the sum of all Contingent Coupon Payments previously paid. The examples are based on a hypothetical Starting Value of 100 for each Underlying and hypothetical Coupon Barriers for each Underlying calculated as described on page PS-2. The actual Contingent Coupon Payments you receive will depend on the actual Starting Values, Coupon Barriers and Observation Values of the Underlyings, whether the Notes are called prior to the applicable Coupon Payment Date, and whether you hold the Notes to maturity.&nbsp;Depending on the performance of the Underlyings, you may not receive any Contingent Coupon Payments during the term of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>Example 1</b>&nbsp;- The Observation Value of each Underlying on the first Observation Date is below its applicable Coupon Barrier. Therefore, no Contingent Coupon Payment will be paid on the applicable Contingent Payment Date. The Observation Value of each Underlying on the second Observation Date is 81.00 or higher, and the Coupon Barrier of each Underlying is 80.00 (80% of its hypothetical Starting Value). Therefore, a Contingent Coupon Payment will be paid on the applicable Contingent Payment Date (which is also the first date on which the Notes may be called). However, the Notes are not called by the Issuer. The Contingent Coupon Payment per $1,000.00 in principal amount of Notes due on the related Contingent Payment Date will be calculated as follows:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">(i) the <i>product</i> of $9.00<i> times</i>&nbsp;the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) minus (ii) the sum of all Contingent Coupon Payments previously paid.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">= (i) $9.00 x 2 - (ii) $0.00 = $18.00 per $1,000.00 in principal amount of Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Observation Value of each Underlying on the third Observation Date is 76.00 or higher, and the Coupon Barrier of each Underlying is 75.00 (75% of its hypothetical Starting Value). Therefore, a Contingent Coupon Payment will be paid on the applicable Contingent Payment Date.&nbsp;In addition, the Notes are called by the Issuer on the third Contingent Payment Date. The Contingent Coupon Payment per $1,000.00 in principal amount of Notes otherwise due on the related Contingent Payment Date will be calculated as follows:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">(i) the <i>product</i> of $9.00<i> times</i>&nbsp;the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) minus (ii) the sum of all Contingent Coupon Payments previously paid.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">= (i) $9.00 x 3 - (ii) $18.00 = $9.00 per $1,000.00 in principal amount of Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">On the applicable Contingent Payment Date (which is also the Call Payment Date), you will receive $1,009.00 per $1,000.00 in principal amount of Notes. No further amounts will be payable following an Optional Early Redemption.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>Example 2</b> &#8211; The Observation Value of each Underlying on the first Observation Date is below its applicable Coupon Barrier. Therefore, no Contingent Coupon Payment will be paid on the applicable Contingent Payment Date. The Observation Value of each Underlying on the second Observation Date is below its applicable Coupon Barrier. Therefore, no Contingent Coupon Payment will be paid on the applicable Contingent Payment Date (which is also the first date on which the Notes may be called). In addition, the Notes are not called by the Issuer. The Observation Value of each Underlying on the third Observation Date is 76.00 or higher, and the Coupon Barrier of each Underlying is 75.00 (75% of its hypothetical Starting Value). Therefore, a Contingent Coupon Payment will be paid on the applicable Contingent Payment Date. In addition,&nbsp;the Notes are called by the Issuer on the third Contingent Payment Date. The Contingent Coupon Payment per $1,000.00 in principal amount of Notes due on the related Contingent Payment Date will be calculated as follows:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">(i) the <i>product</i> of $9.00<i> times</i>&nbsp;the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) minus (ii) the sum of all Contingent Coupon Payments previously paid.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">= (i) $9.00 x 3 - (ii) $0.00 = $27.00 per $1,000.00 in principal amount of Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">On the applicable Contingent Payment Date (which is also the Call Payment Date), you will receive $1,027.00 per $1,000.00 in principal amount of Notes. No further amounts will be payable following an Optional Early Redemption.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>Example 3</b> &#8211; The Observation Value of each Underlying on the first Observation Date is 86.00 or higher, and the Coupon Barrier of each Underlying is 85.00 (85% of its hypothetical Starting Value). Therefore, a Contingent Coupon Payment in the amount of $9.00 per $1,000.00 in principal amount of Notes will be paid on the applicable Contingent Payment Date. The Observation Value of each Underlying on the second Observation Date is 81.00 or higher, and the Coupon Barrier&nbsp;of each Underlying is 80.00 (80% of its hypothetical Starting Value). Therefore, a Contingent Coupon Payment will be paid on the related Contingent Payment Date (which is also the first date on which the Notes may be called). However, the Notes are not called by the</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">9</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Issuer. The Contingent Coupon Payment per $1,000.00 in principal amount of Notes due on the related Contingent Payment Date will be calculated as follows:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">(i) the <i>product</i> of $9.00<i> times</i>&nbsp;the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) minus (ii) the sum of all Contingent Coupon Payments previously paid.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">= (i) $9.00 x 2 - (ii) $9.00 x 1 = $9.00 per $1,000.00 in principal amount of Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Observation Value of each Underlying on each of the third through twenty-third Observation Dates is 76.00 or higher, and the Coupon Barrier of each Underlying is 75.00 (75% of its hypothetical Starting Value). Therefore, a Contingent Coupon Payment in the amount of $9.00 per $1,000.00 in principal amount of Notes will be paid on each applicable Contingent Payment Date. However, the Notes are not called by the Issuer. The Ending Value of each Underlying on the Valuation Date is 76.00 or higher, and the Coupon Barrier of each Underlying is 75.00 (75% of its hypothetical Starting Value). The Ending Value of each Underlying on the Valuation Date is also above its&nbsp;Threshold Value. Therefore, a Contingent Coupon Payment will be due on the Maturity Date. The Contingent Coupon Payment per $1,000.00 in principal amount of Notes due on the related Contingent Payment Date will be calculated as follows:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">(i) the <i>product</i> of $9.00<i> times</i>&nbsp;the number of Contingent Payment Dates that have occurred up to the relevant Contingent Payment Date (inclusive of the relevant Contingent Payment Date) minus (ii) the sum of all Contingent Coupon Payments previously paid.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">= (i) $9.00 x 24 - (ii) $9.00 x 23 = $9.00 per $1,000.00 in principal amount of Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">On the Maturity Date, you will receive $1,009.00 per $1,000.00 in principal amount of Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>Example 4</b> &#8211; The Observation Value of each Underlying on the first Observation Date is 86.00 or higher, and the Coupon Barrier&nbsp;of each Underlying is 85.00 (85% of its hypothetical Starting Value). A Contingent Coupon Payment in the amount of $9.00 per $1,000.00 in principal amount of Notes will be paid on the applicable Contingent Payment Date. The Observation Value of each Underlying on each of the second through twenty-third Observation Dates is below its applicable Coupon Barrier. Therefore, no Contingent Coupon Payment will be payable on the related Contingent Payment Date. In addition, the Notes are not called by the Issuer. The Ending Value of each Underlying on the Valuation Date is below its applicable Coupon Barrier and Threshold Value. Therefore, no Contingent Coupon Payment will be due on the Maturity Date, and you will receive an amount at maturity that will be less than the stated principal amount of your Notes, and could be zero.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">10</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Hypothetical Payout Profile and Examples of Payments at Maturity</font>

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<font style="font-size:11pt;color:#E31837;font-family:'Helvetica',Times,serif;"><b>Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Table</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The following table is for purposes of illustration only. It assumes the Notes have not been called prior to maturity and is based on<b> hypothetical</b> values and shows<b> hypothetical</b> returns on the Notes. The table illustrates the calculation of the Redemption Amount and the return on the Notes based on a hypothetical Starting Value of 100 for the Least Performing Underlying, a hypothetical Coupon Barrier of 75 for the Least Performing Underlying, a hypothetical Threshold Value of 75 for the Least Performing Underlying, a Contingent Coupon Payment applicable to a single payment period of $9.00 per $1,000.00 in principal amount of Notes, a hypothetical Threshold Rate of approximately 133.33333% and a range of hypothetical Ending Values of the Least Performing Underlying. <b>The actual amount you receive and the resulting return will depend on the actual Starting Values, Coupon Barriers, Threshold Values, Observation Values and Ending Values of the Underlyings, the actual Contingent Coupon Payment, whether the Notes are called prior to maturity</b>,<b> and whether you hold the Notes to maturity.</b>&nbsp;The following examples do not take into account any tax consequences from investing in the Notes. The table below also assumes that a Contingent Coupon Payment was paid on each Contingent Payment Date prior to maturity.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">For recent actual values of the Underlyings, see &#8220;The Underlyings&#8221; section below. The Ending Value of each Underlying will not include any income generated by dividends or other distributions paid with respect to shares or units of that Underlying or on the securities or assets included in that Underlying, as applicable. In addition, all payments on the Notes are subject to Issuer and Guarantor credit risk.</font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Ending Value of the Least Performing Underlying</b></font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Underlying Return of the Least Performing Underlying</b></font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Redemption Amount per Note (including any final Contingent Coupon Payment)</b><b>&nbsp;</b><b><sup>(1)</sup></b></font>

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<font style="font-size:8pt;color:#FFFFFF;font-family:'Helvetica',Times,serif;"><b>Return on the Notes</b><b><sup>(1)</sup></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">160.00</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">60.00%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000<sup>(2)</sup></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">150.00</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">50.00%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">140.00</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">40.00%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">130.00</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">30.00%</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">120.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">20.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#F0F0F0"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">110.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">10.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">105.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">5.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#F0F0F0"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">102.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">2.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">100.00<sup>(3)</sup></font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#F0F0F0"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">90.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-10.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">80.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-20.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#F0F0F0"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">75.00<sup>(4)</sup></font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-25.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$1,009.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.9000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">74.99</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-25.01%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$999.867</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-0.0133%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#F0F0F0"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">70.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-30.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$933.333</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-6.6667%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">60.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-40.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$800.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-20.0000%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#F0F0F0"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">50.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-50.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$666.667</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-33.3333%</font>

    </div>


   </td>

  </tr>

<tr  bgcolor="#DADADA"  >
   <td  colspan="1"  rowspan="1"  valign="top" >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">0.00</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-100.00%</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">$0.000</font>

    </div>


   </td>

   <td  colspan="1"  rowspan="1"  valign="top"  style = "border-left:1px solid #FFFFFF;  " >
    <div style="text-align:center;padding-left:7px;padding-right:7px; margin-top:5px;margin-bottom:5px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">-100.0000%</font>

    </div>


   </td>

  </tr>

</table>
    <div style="text-align:left; margin-top:8px;margin-bottom:8px;border-width:1px 1px 1px 1px; border-style:none none none none;">
    </div>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">(1)</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">The &#8220;Return on the Notes&#8221; is calculated based on the Redemption Amount and potential final Contingent Coupon Payment of $9.00 per $1,000.00 in principal amount of Notes, not including any Contingent Coupon Payments paid prior to maturity, and assumes that the relevant Contingent Coupon Payment has been made on each prior Contingent Payment Date.&nbsp;The Redemption Amount per Note has been rounded to three decimal places, and the Return on the Notes has been rounded to four decimal places, as applicable.</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">(2)</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">This amount represents the sum of the principal amount and a final monthly Contingent Coupon Payment of $9.00 per $1,000.00 in principal amount of Notes (assuming that each prior monthly Contingent Coupon Payment has been made on the related Contingent Payment Date).</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">(3)</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">The hypothetical Starting Value of 100 used in the table above has been chosen for illustrative purposes only. The actual Starting Value of each Underlying is set forth on page PS-2 above.</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">(4)</font>

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<font style="font-size:7pt;color:#59595B;font-family:'Helvetica',Times,serif;">This is the hypothetical Coupon Barrier and Threshold Value of the Least Performing Underlying.</font>

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     <img src="image_001.jpg" ALT="" style="width:53px;height:27px; border: solid 0px #000000">

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">11</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Risk Factors</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Your investment in the Notes entails significant risks, many of which differ from those of a conventional debt security. Your decision to purchase the Notes should be made only after carefully considering the risks of an investment in the Notes, including those discussed below, with your advisors in light of your particular circumstances. The Notes are not an appropriate investment for you if you are not knowledgeable about significant elements of the Notes or financial matters in general. You should carefully review the more detailed explanation of risks relating to the Notes in the &#8220;Risk Factors&#8221; sections beginning on page PS-5 of the accompanying product supplement, page S-6 of the accompanying prospectus supplement and page 7 of the accompanying prospectus, each as identified on page PS-</i><i>34</i><i>&nbsp;below.</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><u>Structure-related Risks</u></b></font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Your investment may result in a loss; there is no guaranteed return of principal. </b>There is no fixed principal repayment amount on the Notes at maturity. If the Notes are not called prior to maturity and the Ending Value of <b>any&nbsp;</b>Underlying is less than its Threshold Value, at maturity, your investment will be exposed on a leveraged basis to any decrease in the value of the Least Performing Underlying beyond a 25% decline, and you will lose approximately 1.3333333% of the principal amount for each 1% that the Ending Value of the Least Performing Underlying is less than its Threshold Value. In that case, you will lose some or all of your investment in the Notes.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Your return on the Notes is limited to the return represented by the Contingent Coupon Payments, if any, over the term of the Notes. </b>Your return on the Notes is limited to the Contingent Coupon Payments paid over the term of the Notes, regardless of the extent to which the Observation Value or Ending Value of any Underlying exceeds its applicable Coupon Barrier or Starting Value, as applicable. Similarly, the amount payable at maturity or upon an Optional Early Redemption will never exceed the sum of the principal amount and the applicable Contingent Coupon Payment, regardless of the extent to which the Observation Value or Ending Value of any Underlying exceeds its Starting Value. In contrast, a direct investment in an Underlying or in the securities held by or included in one or more of the Underlyings, as applicable, would allow you to receive the benefit of any appreciation in their values. Any return on the Notes will not reflect the return you would realize if you actually owned those securities or assets &nbsp;and received the dividends paid or distributions made on them.</font>
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    <div style ="text-indent:16px;"><font style="font-size:16px;color:#5F8CD6;font-family:Calibri Light;">&#8226;</font>&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The Notes are subject to Optional Early Redemption, which would limit your ability to receive the Contingent Coupon Payments over the full term of the Notes.&nbsp;</b>On each Call Payment Date, at our option, we may call your Notes in whole, but not in part. If the Notes are called prior to the Maturity Date, you will be entitled to receive the Early Redemption Amount on the applicable Call Payment Date, and no further amounts will be payable on the Notes. In this case, you will lose the opportunity to continue to receive Contingent Coupon Payments after the date of the Optional Early Redemption. If the Notes are called prior to the Maturity Date, you may be unable to invest in other securities with a similar level of risk that could provide a return that is similar to the Notes. Even if we do not exercise our option to call your Notes, our ability to do so may adversely affect the market value of your Notes. It is our sole option whether to call your Notes prior to maturity on any such Call Payment Date and we may or may not exercise this option for any reason. Because of this Optional Early Redemption potential, the term of your Notes could be anywhere between two and twenty-four months.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>You may not receive any Contingent Coupon Payments.&nbsp;</b>The Notes do not provide for any regular fixed coupon payments. Investors in the Notes will not necessarily receive any Contingent Coupon Payments on the Notes. If the Observation Value of any Underlying is less than its applicable Coupon Barrier on an Observation Date, you will not receive the Contingent Coupon Payment on the related Coupon Payment Date. You will receive a previously unpaid Contingent Coupon Payment on a subsequent Coupon Payment Date only if the Observation Value of each Underlying on the related Observation Date is greater than or equal to its applicable Coupon Barrier. However, if the Observation Value of any Underlying on an Observation Date is less than its applicable Coupon Barrier and the Observation Value of any Underlying on each subsequent Observation Date up to and including the Valuation Date is less than its applicable Coupon Barrier, you will not receive the unpaid Contingent Coupon Payments in respect of those Observation Dates. If the Observation Value of any Underlying is less than its applicable Coupon Barrier on all the Observation Dates during the term of the Notes, you will not receive any Contingent Coupon Payments during the term of the Notes, and will not receive a positive return on the Notes.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Your return on the Notes may be less than the yield on a conventional debt security of comparable maturity.&nbsp;</b>Any return that you receive on the Notes may be less than the return you would earn if you purchased a conventional debt security with the same Maturity Date. As a result, your investment in the Notes may not reflect the full opportunity cost to you when you consider factors, such as inflation, that affect the time value of money. In addition, if interest rates increase during the term of the Notes, the Contingent Coupon Payment (if any) may be less than the yield on a conventional debt security of comparable maturity.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The Contingent Coupon Payment, Early Redemption Amount or Redemption Amount, as applicable, will not reflect changes in the values of the Underlyings other than on the Observation Dates. </b>The values of the Underlyings during the term of the Notes other than on the Observation Dates will not affect payments on the Notes. Notwithstanding the foregoing, investors should generally be aware of the performance of the Underlyings while holding the Notes, as the performance of the Underlyings may influence the market value of the Notes. The calculation agent will determine whether each Contingent Coupon Payment is payable and will calculate the Early Redemption Amount or the Redemption Amount, as applicable, by comparing only the Starting Value, the applicable&nbsp;Coupon Barrier or the Threshold Value, as applicable, to the Observation Value or the Ending Value for each Underlying. No other values of the Underlyings will be taken into account. As a result, if the Notes are not called prior to maturity and the Ending Value of the Least Performing Underlying is less than its Threshold Value, you will receive less than the principal amount at maturity even if the value of each Underlying was always above its Threshold Value prior to the Valuation Date.</font>
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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">12</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Because the Notes are linked to the least performing (and not the average performance) of the Underlyings, you may not receive any return on the Notes and may lose some or all of your investment in the Notes even if the Observation Value or Ending Value of one Underlying is greater than or equal to its </b><b>applicable </b><b>Coupon Barrier or Threshold Value, as applicable. </b>Your Notes are linked to the least performing of the Underlyings, and a change in the value of one Underlying may not correlate with changes in the values of the other Underlyings. The Notes are not linked to a basket composed of the Underlyings, where the depreciation in the value of one Underlying could be offset to some extent by the appreciation in the values of the other Underlyings. In the case of the Notes, the individual performance of each Underlying would not be combined, and the depreciation in the value of one Underlying would not be offset by any appreciation in the values of the other Underlyings. Even if the Observation Value of an Underlying is at or above its applicable Coupon Barrier on an Observation Date, you will not receive the Contingent Coupon Payment with respect to that Observation Date if the Observation Value of another Underlying is below its applicable&nbsp;Coupon Barrier on that day. In addition, even if the Ending Value of an Underlying is at or above its Threshold Value, you will lose some or all of your investment in the Notes if the Ending Value of the Least Performing Underlying is below its Threshold Value.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Any payments on the Notes are subject to our credit risk and the credit risk of the Guarantor, and any actual or perceived changes in our or the Guarantor&#8217;s creditworthiness are expected to affect the value of the Notes.&nbsp;</b>The Notes are our senior unsecured debt securities. Any payment on the Notes will be fully and unconditionally guaranteed by the Guarantor. The Notes are not guaranteed by any entity other than the Guarantor. As a result, your receipt of any payments on the Notes will be dependent upon our ability and the ability of the Guarantor to repay our respective obligations under the Notes on the applicable payment date, regardless of the performance of the Underlyings. No assurance can be given as to what our financial condition or the financial condition of the Guarantor will be at any time after the pricing date of the Notes. If we and the Guarantor become unable to meet our respective financial obligations as they become due, you may not receive the amount(s) payable under the terms of the Notes.
     <br>
     <br>In addition, our credit ratings and the credit ratings of the Guarantor are assessments by ratings agencies of our respective abilities to pay our obligations. Consequently, our or the Guarantor&#8217;s perceived creditworthiness and actual or anticipated decreases in our or the Guarantor&#8217;s credit ratings or increases in the spread between the yield on our respective securities and the yield on U.S. Treasury securities (the &#8220;credit spread&#8221;) prior to the Maturity Date may adversely affect the market value of the Notes. However, because your return on the Notes depends upon factors in addition to our ability and the ability of the Guarantor to pay our respective obligations, such as the values of the Underlyings, an improvement in our or the Guarantor&#8217;s credit ratings will not reduce the other investment risks related to the Notes.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>We are a finance subsidiary and, as such, have no independent assets, operations, or revenues.&nbsp;</b>We are a finance subsidiary of the Guarantor, have no operations other than those related to the issuance, administration and repayment of our debt securities that are guaranteed by the Guarantor, and are dependent upon the Guarantor and/or its other subsidiaries to meet our obligations under the Notes in the ordinary course. Therefore, our ability to make payments on the Notes may be limited.</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><u>Valuation and Market-related Risks</u></b></font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The public offering price you are paying for the Notes exceeds their initial estimated value.&nbsp;</b>The initial estimated value of the Notes that is provided on the cover page of this pricing supplement is an estimate only, determined as of the pricing date by reference to our and our affiliates&#8217; pricing models. These pricing models consider certain assumptions and variables, including our credit spreads and those of the Guarantor, the Guarantor&#8217;s internal funding rate, mid-market terms on hedging transactions, expectations on interest rates, dividends and volatility, price-sensitivity analysis, and the expected term of the Notes. These pricing models rely in part on certain forecasts about future events, which may prove to be incorrect. If you attempt to sell the Notes prior to maturity, their market value may be lower than the price you paid for them and lower than their initial estimated value. This is due to, among other things, changes in the values of the Underlyings, changes in the Guarantor&#8217;s internal funding rate, and the inclusion in the public offering price of the underwriting discount, if any, the referral fee and the hedging related charges, all as further described in &#8220;Structuring the Notes&#8221; below. These factors, together with various credit, market and economic factors over the term of the Notes, are expected to reduce the price at which you may be able to sell the Notes in any secondary market and will affect the value of the Notes in complex and unpredictable ways.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The initial estimated value does not represent a minimum or maximum price at which we, BAC, BofAS or any of our other affiliates would be willing to purchase your Notes in any secondary market (if any exists) at any time.&nbsp;</b>The value of your Notes at any time after issuance will vary based on many factors that cannot be predicted with accuracy, including the performance of the Underlyings, our and BAC&#8217;s creditworthiness and changes in market conditions.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>We cannot assure you that a trading market for your Notes will ever develop or be maintained.&nbsp;</b>We will not list the Notes on any securities exchange. We cannot predict how the Notes will trade in any secondary market or whether that market will be liquid or illiquid.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Trading and hedging activities by us, the Guarantor and any of our other affiliates, including BofAS, may create conflicts of interest with you and may affect your return on the Notes and their market value.&nbsp;</b>We, the Guarantor or one or more of our other affiliates, including BofAS, may buy or sell shares or units of the Underlyings or the securities or assets held by or included in the Underlyings, as applicable, or futures or options contracts or exchange traded instruments on the Underlyings or those securities, or</font>
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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">13</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">other instruments whose value is derived from the Underlyings or those securities or assets . While we, the Guarantor or one or more of our other affiliates, including BofAS, may from time to time own shares or units of the Underlyings or securities or assets represented by the Underlyings, except to the extent that BAC&#8217;s common stock may be included in the Underlyings, we, the Guarantor and our other affiliates, including BofAS, do not control any company included in the Underlyings, and have not verified any disclosure made by any other company. We, the Guarantor or one or more of our other affiliates, including BofAS, may execute such purchases or sales for our own or their own accounts, for business reasons, or in connection with hedging our obligations under the Notes. These transactions may present a conflict of interest between your interest in the Notes and the interests we, the Guarantor and our other affiliates, including BofAS, may have in our or their proprietary accounts, in facilitating transactions, including block trades, for our or their other customers, and in accounts under our or their management. These transactions may adversely affect the values of the Underlyings in a manner that could be adverse to your investment in the Notes. On or before the pricing date, any purchases or sales by us, the Guarantor or our other affiliates, including BofAS or others on our or their behalf (including those for the purpose of hedging some or all of our anticipated exposure in connection with the Notes), may have affected the values of the Underlyings. Consequently, the values of the Underlyings may change subsequent to the pricing date, which may adversely affect the market value of the Notes.
     <br>
     <br>We, the Guarantor or one or more of our other affiliates, including BofAS, also may have engaged in hedging activities that could have affected the values of the Underlyings on the pricing date. In addition, these hedging activities, including the unwinding of a hedge, may decrease the market value of your Notes prior to maturity, and may affect the amounts to be paid on the Notes. We, the Guarantor or one or more of our other affiliates, including BofAS, may purchase or otherwise acquire a long or short position in the Notes and may hold or resell the Notes. For example, BofAS may enter into these transactions in connection with any market making activities in which it engages. We cannot assure you that these activities will not adversely affect the values of the Underlyings, the market value of your Notes prior to maturity or the amounts payable on the Notes.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>There may be potential conflicts of interest involving the calculation agent, which is an affiliate of ours.&nbsp;</b>We have the right to appoint and remove the calculation agent. One of our affiliates will be the calculation agent for the Notes and, as such, will make a variety of determinations relating to the Notes, including the amounts that will be paid on the Notes. Under some circumstances, these duties could result in a conflict of interest between its status as our affiliate and its responsibilities as calculation agent.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The Notes are subject to risks associated with small-size capitalization companies.&nbsp;</b>The stocks comprising the RTY are issued by companies with small-sized market capitalization. The stock prices of small-size companies may be more volatile than stock prices of large capitalization companies. Small-size capitalization companies may be less able to withstand adverse economic, market, trade and competitive conditions relative to larger companies. Small-size capitalization companies may also be more susceptible to adverse developments related to their products or services.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>Adverse conditions in the utilities sector may reduce your return on the Notes.&nbsp;</b>All or substantially all of the equity securities held by the XLU are issued by companies whose primary line of business is directly associated with the utilities sector. Utility companies are affected by supply and demand, operating costs, government regulation, environmental factors, liabilities for environmental damage and general civil liabilities. Due to the capital intensive nature of utilities, many of these companies tend to be more greatly impacted by interest rates due to their relatively high debt ratios. Additionally, certain utility companies have experienced full or partial deregulation in recent years, and are therefore subject to greater competition. These factors could affect the utilities sector and could affect the value of the equity securities held by the XLU and the price of the XLU during the term of the Notes, which may adversely affect the value of your Notes.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The Notes are subject to risks associated with foreign securities markets. </b>The NDX includes certain foreign equity securities. You should be aware that investments in securities linked to the value of foreign equity securities involve particular risks. The foreign securities markets comprising the NDX&nbsp;may have less liquidity and may be more volatile than U.S. or other securities markets and market developments may affect foreign markets differently from U.S. or other securities markets. Direct or indirect government intervention to stabilize these foreign securities markets, as well as cross-shareholdings in foreign companies, may affect trading prices and volumes in these markets. Also, there is generally less publicly available information about foreign companies than about those U.S. companies that are subject to the reporting requirements of the SEC, and foreign companies are subject to accounting, auditing and financial reporting standards and requirements that differ from those applicable to U.S. reporting companies.</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Prices of securities in foreign countries are subject to political, economic, financial and social factors that apply in those geographical regions. These factors, which could negatively affect those securities markets, include the possibility of recent or future changes in a foreign government&#8217;s economic and fiscal policies, the possible imposition of, or changes in, currency exchange laws or other laws or restrictions applicable to foreign companies or investments in foreign equity securities and the possibility of fluctuations in the rate of exchange between currencies, the possibility of outbreaks of hostility and political instability and the possibility of natural disaster or adverse public health developments in the region. Moreover, foreign economies may differ favorably or unfavorably from the U.S. economy in important respects such as growth of gross national product, rate of inflation, capital reinvestment, resources and self-sufficiency.</font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The stocks held by the XLU are concentrated in one sector.</b>&nbsp;The XLU holds securities issued by companies in the utilities sector. As a result, some of the stocks that will determine the performance of the Notes are concentrated in one sector. Although an investment in</font>
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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">14</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the Notes will not give holders any ownership or other direct interests in the securities held by the XLU, the return on an investment in the Notes will be subject to certain risks associated with a direct equity investment in companies in this sector. Accordingly, by investing in the Notes, you will not benefit from the diversification which could result from an investment linked to companies that operate in multiple sectors.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The performance of the XLU may not correlate with the performance of its underlying index as well as the net asset value per share or unit of the XLU, especially during periods of market volatility.&nbsp;</b>The performance of the XLU and that of its underlying index generally will vary due to, for example, transaction costs, management fees, certain corporate actions, and timing variances. Moreover, it is also possible that the performance of the XLU may not fully replicate or may, in certain circumstances, diverge significantly from the performance of its underlying index. This could be due to, for example, the XLU not holding all or substantially all of the underlying assets included in its underlying index and/or holding assets that are not included in its underlying index, the temporary unavailability of certain securities in the secondary market, the performance of any derivative instruments held by the XLU, differences in trading hours between the XLU (or the underlying assets held by the XLU) and its underlying index, or other circumstances. This variation in performance is called the &#8220;tracking error,&#8221; and, at times, the tracking error may be significant. In addition, because the shares or units of the XLU are traded on a securities exchange and are subject to market supply and investor demand, the market price of one share or unit of the XLU may differ from its net asset value per share or unit; shares or units of the XLU may trade at, above, or below its net asset value per share or unit. During periods of market volatility, securities held by the XLU may be unavailable in the secondary market, market participants may be unable to calculate accurately the net asset value per share or unit of the XLU and the liquidity of the XLU may be adversely affected. Market volatility may also disrupt the ability of market participants to trade shares or units of the XLU. Further, market volatility may adversely affect, sometimes materially, the prices at which market participants are willing to buy and sell shares or units of the XLU. As a result, under these circumstances, the market value of shares or units of the XLU may vary substantially from the net asset value per share or unit of the XLU.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The anti-dilution adjustments will be limited.&nbsp;</b>The calculation agent may adjust the Price Multiplier of the XLU and other terms of the Notes to reflect certain actions by the XLU, as described in the section &#8220;Description of the Notes&#8212;Anti-Dilution and Discontinuance Adjustments Relating to ETFs&#8221; in the accompanying product supplement. The calculation agent will not be required to make an adjustment for every event that may affect the XLU and will have broad discretion to determine whether and to what extent an adjustment is required.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The publisher or the sponsor or investment advisor of an Underlying may adjust that Underlying in a way that affects its values, and the publisher or the sponsor or investment advisor has no obligation to consider your interests.&nbsp;</b>The publisher or the sponsor or investment advisor of an Underlying can add, delete, or substitute the components included in that Underlying or make other methodological changes that could change its value. Any of these actions could adversely affect the value of your Notes.</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><u>Tax-related Risks</u></b></font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;"><b>The U.S. federal income tax consequences of an investment in the Notes are uncertain, and may be adverse to a holder of the Notes. </b>No statutory, judicial, or administrative authority directly addresses the characterization of the Notes or securities similar to the Notes for U.S. federal income tax purposes. As a result, significant aspects of the U.S. federal income tax consequences of an investment in the Notes are not certain. Under the terms of the Notes, you will have agreed with us to treat the Notes as contingent income-bearing single financial contracts, as described below under &#8220;U.S. Federal Income Tax Summary&#8212;General.&#8221; If the Internal Revenue Service (the &#8220;IRS&#8221;) were successful in asserting an alternative characterization for the Notes, the timing and character of income, gain or loss with respect to the Notes may differ. No ruling will be requested from the IRS with respect to the Notes and no assurance can be given that the IRS will agree with the statements made in the section entitled &#8220;U.S. Federal Income Tax Summary.&#8221;&nbsp;<b>You are urged to consult with your own tax advisor regarding all aspects of the U.S. federal income tax consequences of investing in the Notes.</b></font>
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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">15</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">The Underlyings</font>

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    <div style="text-align:left; margin-top:10px;margin-bottom:10px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">All disclosures contained in this pricing supplement regarding the Underlyings, including, without limitation, their make-up, method of calculation, and changes in their components, have been derived from publicly available sources. The information reflects the policies of, and is subject to change by, the sponsor of the NDX, the sponsor of the RTY and the investment advisor of the XLU (collectively, the &#8220;Underlying Sponsors&#8221;). The Underlying Sponsors, which license the copyright and all other rights to the respective Underlyings, have no obligation to continue to publish, and may discontinue publication of, the Underlyings. The consequences of any Underlying Sponsor discontinuing publication of the applicable Underlying are discussed in &#8220;Description of the Notes &#8212; Discontinuance of an Index&#8221; and &#8220;Description of the Notes &#8212; Anti-Dilution and Discontinuance Adjustments Relating to ETFs &#8212; Discontinuance of or Material Change to an ETF&#8221; in the accompanying product supplement. None of us, the Guarantor, the calculation agent, or BofAS accepts any responsibility for the calculation, maintenance or publication of any Underlying or any successor underlying. None of us, the Guarantor, BofAS or any of our other affiliates makes any representation to you as to the future performance of the Underlyings. You should make your own investigation into the Underlyings.</font>

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<font style="font-size:11pt;color:#E31837;font-family:'Helvetica',Times,serif;"><b>The Nasdaq-100</b><b><sup>&#174;</sup></b><b>&nbsp;Index</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The NDX is intended to measure the performance of the 100 largest domestic and international non-financial securities listed on The Nasdaq Stock Market ("NASDAQ") based on market capitalization. The NDX reflects companies across major industry groups including computer hardware and software, telecommunications, retail/wholesale trade and biotechnology. It does not contain securities of financial companies including investment companies.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The NDX began trading on January 31, 1985 at a base value of 125.00. The NDX is calculated and published by Nasdaq, Inc. In administering the NDX, Nasdaq, Inc. will exercise reasonable discretion as it deems appropriate.</font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b><i>Underlying Stock Eligibility Criteria</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">NDX eligibility is limited to specific security types only. The security types eligible for the NDX include foreign or domestic common stocks, ordinary shares, ADRs and tracking stocks. Security types not included in the NDX are closed-end funds, convertible debt securities, exchange traded funds, limited liability companies, limited partnership interests, preferred stocks, rights, shares or units of beneficial interest, warrants, units, and other derivative securities. The NDX does not contain securities of investment companies. For purposes of the NDX eligibility criteria, if the security is a depositary receipt representing a security of a non-U.S. issuer, then references to the &#8220;issuer&#8221; are references to the issuer of the underlying security.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Initial Eligibility Criteria</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">To be eligible for initial inclusion in the NDX, a security must be listed on NASDAQ and meet the following criteria:</font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security&#8217;s U.S. listing must be exclusively on the Nasdaq Global Select Market or the Nasdaq Global Market (unless the security was dually listed on another U.S. market prior to January 1, 2004 and has continuously maintained such listing);</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security must be of a non-financial company;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security may not be issued by an issuer currently in bankruptcy proceedings;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security must have a minimum three-month average daily trading volume of at least 200,000 shares;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">if the issuer of the security is organized under the laws of a jurisdiction outside the U.S., then such security must have listed options on a recognized options market in the U.S. or be eligible for listed-options trading on a recognized options market in the U.S.;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the issuer of the security may not have entered into a definitive agreement or other arrangement which would likely result in the security no longer being eligible for inclusion in the NDX;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the issuer of the security may not have annual financial statements with an audit opinion that is currently withdrawn; and</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the issuer of the security must have &#8220;seasoned&#8221; on NASDAQ, the New York Stock Exchange or NYSE Amex. Generally, a company is considered to be seasoned if it has been listed on a market for at least three full months (excluding the first month of initial listing).</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Continued Eligibility Criteria</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In addition, to be eligible for continued inclusion in the NDX, the following criteria apply:</font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security&#8217;s U.S. listing must be exclusively on the Nasdaq Global Select Market or the Nasdaq Global Market;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security must be of a non-financial company;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security may not be issued by an issuer currently in bankruptcy proceedings;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security must have a minimum three-month average daily trading volume of at least 200,000 shares;</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">if the issuer of the security is organized under the laws of a jurisdiction outside the U.S., then such security must have listed options on a recognized options market in the U.S. or be eligible for listed-options trading on a recognized options market in the U.S. (measured annually during the ranking review process);</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the security must have an adjusted market capitalization equal to or exceeding 0.10% of the aggregate adjusted market capitalization of</font>
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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">16</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style ="text-indent:16px;">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the NDX at each month-end. In the event a company does not meet this criterion for two consecutive month-ends, it will be removed from the NDX effective after the close of trading on the third Friday of the following month; and</font>
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    <div style ="text-indent:16px;"><font style="font-size:16px;color:#5F8CD6;font-family:Calibri Light;">&#8226;</font>&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">the issuer of the security may not have annual financial statements with an audit opinion that is currently withdrawn.</font>
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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b><i>Computation of the NDX</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The value of the NDX equals the aggregate value of the NDX share weights (the &#8220;NDX Shares&#8221;) of each of the NDX securities multiplied by each such security&#8217;s last sale price (last sale price refers to the last sale price on NASDAQ), and divided by the divisor of the NDX. If trading in an NDX security is halted while the market is open, the last traded price for that security is used for all NDX computations until trading resumes. If trading is halted before the market is open, the previous day&#8217;s last sale price is used. The formula for determining the NDX value is as follows:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The NDX is ordinarily calculated without regard to cash dividends on NDX securities. The NDX is calculated during the trading day and is disseminated once per second from 09:30:01 to 17:16:00 ET. The closing level of the NDX may change up until 17:15:00 ET due to corrections to the last sale price of the NDX securities. The official closing value of the NDX is ordinarily disseminated at 17:16:00 ET.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><i>NDX Maintenance</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Changes to NDX Constituents</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Changes to the NDX constituents may be made during the annual ranking review. In addition, if at any time during the year other than the annual review, it is determined that an NDX security issuer no longer meets the criteria for continued inclusion in the NDX, or is otherwise determined to have become ineligible for continued inclusion in the NDX, it is replaced with the largest market capitalization issuer not currently in the NDX that meets the applicable eligibility criteria for initial inclusion in the NDX.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Ordinarily, a security will be removed from the NDX at its last sale price. However, if at the time of its removal the NDX security is halted from trading on its primary listing market and an official closing price cannot readily be determined, the NDX security may, in Nasdaq, Inc.&#8217;s discretion, be removed at a price of $0.00000001 (&#8220;zero price&#8221;). This zero price will be applied to the NDX security after the close of the market but prior to the time the official closing value of the NDX is disseminated.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Divisor Adjustments</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The divisor is adjusted to ensure that changes in the NDX constituents either by corporate actions (that adjust either the price or shares of an NDX security) or NDX participation outside of trading hours do not affect the value of the NDX. All divisor changes occur after the close of the applicable index security markets.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Quarterly NDX Rebalancing</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The NDX will be rebalanced on a quarterly basis if it is determined that (1) the current weight of the single NDX security with the largest market capitalization is greater than 24.0% of the NDX or (2) the collective weight of those securities whose individual current weights are in excess of 4.5% exceeds 48.0% of the NDX. In addition, a &#8220;special rebalancing&#8221; of the NDX may be conducted at any time if Nasdaq, Inc. determines it necessary to maintain the integrity and continuity of the NDX. If either one or both of the above weight distribution conditions are met upon quarterly review, or Nasdaq, Inc. determines that a special rebalancing is necessary, a weight rebalancing will be performed.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">If the first weight distribution condition is met and the current weight of the single NDX security with the largest market capitalization is greater than 24.0%, then the weights of all securities with current weights greater than 1.0% (&#8220;large securities&#8221;) will be scaled down proportionately toward 1.0% until the adjusted weight of the single largest NDX security reaches 20.0%.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">If the second weight distribution condition is met and the collective weight of those securities whose individual current weights are in excess of 4.5% (or adjusted weights in accordance with the previous step, if applicable) exceeds 48.0% of the NDX, then the weights of all such large securities in that group will be scaled down proportionately toward 1.0% until their collective weight, so adjusted, is equal to 40.0%.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The aggregate weight reduction among the large securities resulting from either or both of the rebalancing steps above will then be redistributed to those securities with weightings of less than 1.0% (&#8220;small securities&#8221;) in the following manner. In the first iteration, the weight of the largest small security will be scaled upwards by a factor which sets it equal to the average NDX weight of 1.0%. The weights of each of the smaller remaining small securities will be scaled up by the same factor reduced in relation to each security&#8217;s relative ranking among the small securities such that the smaller the NDX security in the ranking, the less its weight will be scaled upward. This is intended to reduce the market impact of the weight rebalancing on the smallest component securities in the NDX.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In the second iteration of the small security rebalancing, the weight of the second largest small security, already adjusted in the first iteration, will be scaled upwards by a factor which sets it equal to the average NDX weight of 1.0%. The weights of each of the smaller remaining small securities will be</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">17</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">scaled up by this same factor reduced in relation to each security&#8217;s relative ranking among the small securities such that, once again, the smaller the security in the ranking, the less its weight will be scaled upward. Additional iterations will be performed until the accumulated increase in weight among the small securities equals the aggregate weight reduction among the large securities that resulted from the rebalancing in accordance with the two weight distribution conditions discussed above.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Finally, to complete the rebalancing process, once the final weighting percentages for each NDX security have been set, the NDX Shares will be determined anew based upon the last sale prices and aggregate capitalization of the NDX at the close of trading on the last calendar day in February, May, August and November. Changes to the NDX Shares will be made effective after the close of trading on the third Friday in March, June, September and December, and an adjustment to the divisor is made to ensure continuity of the NDX. Ordinarily, new rebalanced NDX Shares will be determined by applying the above procedures to the current NDX Shares. However, Nasdaq, Inc. may, from time to time, determine rebalanced weights, if necessary, by applying the above procedure to the actual current market capitalization of the NDX components. In such instances, Nasdaq, Inc. would announce the different basis for rebalancing prior to its implementation.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">During the quarterly rebalancing, data is cutoff as of the previous month end and no changes are made to the NDX from that cutoff until the quarterly index share change effective date, except in the case of changes due to corporate actions with an ex-date.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><i>Adjustments for Corporate Actions</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Changes in the price and/or NDX Shares driven by corporate events such as stock dividends, splits, and certain spin-offs and rights issuances will be adjusted on the ex-date. If the change in total shares outstanding arising from other corporate actions is greater than or equal to 10.0%, the change will be made as soon as practicable. Otherwise, if the change in total shares outstanding is less than 10.0%, then all such changes are accumulated and made effective at one time on a quarterly basis after the close of trading on the third Friday in each of March, June, September, and December. The NDX Shares are derived from the security&#8217;s total shares outstanding. The NDX Shares are adjusted by the same percentage amount by which the total shares outstanding have changed.</font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b>Historical Performance of the NDX</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The following graph sets forth the daily historical performance of the NDX in the period from January 2, 2020 through the pricing date. We obtained this historical data from Bloomberg L.P. We have not independently verified the accuracy or completeness of the information obtained from Bloomberg L.P. On the pricing date, the closing level of the NDX was 25,434.89.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">This historical data on the NDX is not necessarily indicative of the future performance of the NDX or what the value of the Notes may be. Any historical upward or downward trend in the closing level of the NDX during any period set forth above is not an indication that the closing level of the NDX is more or less likely to increase or decrease at any time over the term of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Before investing in the Notes, you should consult publicly available sources for the closing levels of the NDX.</font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b><i>License Agreement</i></b></font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">18</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Notes are not sponsored, endorsed, sold or promoted by Nasdaq, Inc. or its affiliates (Nasdaq, Inc., with its affiliates, are referred to as the &#8220;Corporations&#8221;). The Corporations have not passed on the legality or suitability of, or the accuracy or adequacy of descriptions and disclosures relating to, the Notes. The Corporations make no representation or warranty, express or implied, to the owners of the Notes or any member of the public regarding the advisability of investing in securities generally or in the Notes particularly, or the ability of the NDX to track general stock market performance. The Corporations&#8217; only relationship to our affiliate, Merrill Lynch, Pierce, Fenner &amp; Smith Incorporated (&#8220;Licensee&#8221;) is in the licensing of the NASDAQ<sup>&#174;</sup>, OMX<sup>&#174;</sup>, NASDAQ OMX<sup>&#174;</sup>, and NDX registered trademarks, and certain trade names of the Corporations or their licensor and the use of the NDX which is determined, composed and calculated by Nasdaq, Inc. without regard to Licensee or the Notes. Nasdaq, Inc. has no obligation to take the needs of the Licensee or the owners of the Notes into consideration in determining, composing or calculating the NDX. The Corporations are not responsible for and have not participated in the determination of the timing of, prices at, or quantities of the Notes to be issued or in the determination or calculation of the equation by which the Notes are to be converted into cash. The Corporations have no liability in connection with the administration, marketing or trading of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">THE CORPORATIONS DO NOT GUARANTEE THE ACCURACY AND/OR UNINTERRUPTED CALCULATION OF THE NDX OR ANY DATA INCLUDED THEREIN. THE CORPORATIONS MAKE NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE NOTES, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE NDX OR ANY DATA INCLUDED THEREIN. THE CORPORATIONS MAKE NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIM ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE NDX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL THE CORPORATIONS HAVE ANY LIABILITY FOR ANY LOST PROFITS OR SPECIAL, INCIDENTAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES, EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">19</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:11pt;color:#E31837;font-family:'Helvetica',Times,serif;"><b>The Russell 2000</b><b><sup>&#174;</sup></b><b>&nbsp;Index</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The RTY was developed by Russell Investments (&#8220;Russell&#8221;) before FTSE International Limited and Russell combined in 2015 to create FTSE Russell, which is wholly owned by London Stock Exchange Group. Additional information on the RTY is available at the following website: http://www.ftserussell.com. No information on that website is deemed to be included or incorporated by reference in this pricing supplement.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Russell began dissemination of the RTY on January 1, 1984. FTSE Russell calculates and publishes the RTY. The RTY was set to 135 as of the close of business on December 31, 1986. The RTY is designed to track the performance of the small capitalization segment of the U.S. equity market. As a subset of the Russell 3000<sup>&#174;</sup> Index, the RTY consists of the smallest 2,000 companies included in the Russell 3000<sup>&#174;</sup> Index. The Russell 3000<sup>&#174;</sup>&nbsp;Index measures the performance of the largest 3,000 U.S. companies, representing approximately 98% of the investable U.S. equity market. The RTY is determined, comprised, and calculated by FTSE Russell without regard to the Notes.</font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b><i>Selection of Stocks Comprising the RTY</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Each company eligible for inclusion in the RTY must be classified as a U.S. company under FTSE Russell&#8217;s country-assignment methodology. If a company is incorporated, has a stated headquarters location, and trades in the same country (American Depositary Receipts and American Depositary Shares are not eligible), then the company is assigned to its country of incorporation. If any of the three factors are not the same, FTSE Russell defines three Home Country Indicators (&#8220;HCIs&#8221;): country of incorporation, country of headquarters, and country of the most liquid exchange (as defined by a two-year average daily dollar trading volume) from all exchanges within a country. Using the HCIs, FTSE Russell compares the primary location of the company&#8217;s assets with the three HCIs. If the primary location of its assets matches any of the HCIs, then the company is assigned to the primary location of its assets. If there is insufficient information to determine the country in which the company&#8217;s assets are primarily located, FTSE Russell will use the country from which the company&#8217;s revenues are primarily derived for the comparison with the three HCIs in a similar manner. FTSE Russell uses the average of two years of assets or revenues data to reduce potential turnover. If conclusive country details cannot be derived from assets or revenues data, FTSE Russell will assign the company to the country of its headquarters, which is defined as the address of the company&#8217;s principal executive offices, unless that country is a Benefit Driven Incorporation (&#8220;BDI&#8221;) country, in which case the company will be assigned to the country of its most liquid stock exchange. BDI countries include: Anguilla, Antigua and Barbuda, Bahamas, Barbados, Belize, Bermuda, Bonaire, British Virgin Islands, Cayman Islands, Channel Islands, Cook Islands, Curacao, Faroe Islands, Gibraltar, Guernsey, Isle of Man, Jersey, Liberia, Marshall Islands, Panama, Saba, Sint Eustatius, Sint Maarten, and Turks and Caicos Islands. For any companies incorporated or headquartered in a U.S. territory, including Puerto Rico, Guam, and U.S. Virgin Islands, a U.S. HCI is assigned.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">All securities eligible for inclusion in the RTY must trade on a major U.S. exchange. Stocks must have a closing price at or above $1.00 on their primary exchange on the last trading day in May to be eligible for inclusion during annual reconstitution. However, in order to reduce unnecessary turnover, if an existing member&#8217;s closing price is less than $1.00 on the last day of May, it will be considered eligible if the average of the daily closing prices (from its primary exchange) during the month of May is equal to or greater than $1.00. Initial public offerings are added each quarter and must have a closing price at or above $1.00 on the last day of their eligibility period in order to qualify for index inclusion. If an existing stock does not trade on the &#8220;rank day&#8221; (typically the last trading day in May but a confirmed timetable is announced each spring) but does have a closing price at or above $1.00 on another eligible U.S. exchange, that stock will be eligible for inclusion.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">An important criterion used to determine the list of securities eligible for the RTY is total market capitalization, which is defined as the market price as of the last trading day in May for those securities being considered at annual reconstitution times the total number of shares outstanding. Where applicable, common stock, non-restricted exchangeable shares and partnership units/membership interests are used to determine market capitalization. Any other form of shares such as preferred stock, convertible preferred stock, redeemable shares, participating preferred stock, warrants and rights, installment receipts or trust receipts, are excluded from the calculation. If multiple share classes of common stock exist, they are combined. In cases where the common stock share classes act independently of each other (e.g., tracking stocks), each class is considered for inclusion separately. If multiple share classes exist, the pricing vehicle will be designated as the share class with the highest two-year trading volume as of the rank day in May.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Companies with a total market capitalization of less than $30 million are not eligible for the RTY. Similarly, companies with only 5% or less of their shares available in the marketplace are not eligible for the RTY. Royalty trusts, limited liability companies, closed-end investment companies (companies that are required to report Acquired Fund Fees and Expenses, as defined by the SEC, including business development companies), blank check companies, special purpose acquisition companies, and limited partnerships are also ineligible for inclusion. Bulletin board, pink sheets, and over-the-counter traded securities are not eligible for inclusion. Exchange traded funds and mutual funds are also excluded.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Annual reconstitution is a process by which the RTY is completely rebuilt. Based on closing levels of the company&#8217;s common stock on its primary exchange on the rank day of May of each year, FTSE Russell reconstitutes the composition of the RTY using the then existing market capitalizations of eligible companies. Reconstitution of the RTY occurs on the last Friday in June or, when the last Friday in June is the 29th or 30th, reconstitution occurs on the prior Friday. In addition, FTSE Russell adds initial public offerings to the RTY on a quarterly basis based on total market capitalization ranking within the market-adjusted capitalization breaks established during the most recent reconstitution. After membership is determined, a security&#8217;s shares are adjusted to include only those shares available to the public. This is often referred to as &#8220;free float.&#8221; The purpose of the adjustment is to exclude from market calculations the capitalization that is not available for purchase and is not part of the investable opportunity set.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">20</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b>Historical Performance of the RTY</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The following graph sets forth the daily historical performance of the RTY in the period from January 2, 2020 through the pricing date. We obtained this historical data from Bloomberg L.P. We have not independently verified the accuracy or completeness of the information obtained from Bloomberg L.P. On the pricing date, the closing level of the RTY was 2,500.434.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">This historical data on the RTY is not necessarily indicative of the future performance of the RTY or what the value of the Notes may be. Any historical upward or downward trend in the closing level of the RTY during any period set forth above is not an indication that the closing level of the RTY is more or less likely to increase or decrease at any time over the term of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Before investing in the Notes, you should consult publicly available sources for the closing levels of the RTY.</font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b><i>License Agreement</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">&#8220;Russell 2000<sup>&#174;</sup>&#8221; and &#8220;Russell 3000<sup>&#174;</sup>&#8221; are trademarks of FTSE Russell and have been licensed for use by our affiliate, Merrill Lynch, Pierce, Fenner &amp; Smith Incorporated. The Notes are not sponsored, endorsed, sold, or promoted by FTSE Russell, and FTSE Russell makes no representation regarding the advisability of investing in the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">FTSE Russell and Merrill Lynch, Pierce, Fenner &amp; Smith Incorporated have entered into a non-exclusive license agreement providing for the license to Merrill Lynch, Pierce, Fenner &amp; Smith Incorporated and its affiliates, including us, in exchange for a fee, of the right to use indices owned and published by FTSE Russell in connection with some securities, including the Notes. The license agreement provides that the following language must be stated in this pricing supplement:</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Notes are not sponsored, endorsed, sold, or promoted by FTSE Russell. FTSE Russell makes no representation or warranty, express or implied, to the holders of the Notes or any member of the public regarding the advisability of investing in securities generally or in the Notes particularly or the ability of the RTY to track general stock market performance or a segment of the same. FTSE Russell&#8217;s publication of the RTY in no way suggests or implies an opinion by FTSE Russell as to the advisability of investment in any or all of the securities upon which the RTY is based. FTSE Russell&#8217;s only relationship to Merrill Lynch, Pierce, Fenner &amp; Smith Incorporated and to us is the licensing of certain trademarks and trade names of FTSE Russell and of the RTY, which is determined, composed, and calculated by FTSE Russell without regard to Merrill Lynch, Pierce, Fenner &amp; Smith Incorporated, us, or the Notes. FTSE Russell is not responsible for and has not reviewed the Notes nor any associated literature or publications and FTSE Russell makes no representation or warranty express or implied as to their accuracy or completeness, or otherwise. FTSE Russell reserves the right, at any time and without notice, to alter, amend, terminate, or in any way change the RTY. FTSE Russell has no obligation or liability in connection with the administration, marketing, or trading of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">FTSE RUSSELL DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE RTY OR ANY DATA INCLUDED THEREIN AND FTSE RUSSELL SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. FTSE RUSSELL MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY MERRILL LYNCH, PIERCE, FENNER &amp; SMITH INCORPORATED, US, BAC, BOFAS, HOLDERS OF THE NOTES, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE RTY OR ANY DATA INCLUDED THEREIN. FTSE RUSSELL MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">21</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE RTY OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL FTSE RUSSELL HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">22</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:11pt;color:#E31837;font-family:'Helvetica',Times,serif;"><b>The Utilities Select Sector SPDR</b><b><sup>&#174;</sup></b><b>&nbsp;Fund</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The shares of the XLU are issued by Select Sector SPDR<sup>&#174;</sup>&nbsp;Trust, a registered investment company. The XLU seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Utilities Select Sector Index. The XLU measures the performance of the utilities sector of the U.S. equity market. The XLU is composed of equity securities of companies in the electric utilities, water utilities, multi-utilities, independent power producers and energy traders, and gas utilities industries. The XLU trades on the NYSE Arca under the ticker symbol &#8220;XLU.&#8221;</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The shares of the XLU are registered under the Securities Exchange Act of 1934, as amended (the "Exchange Act"). Accordingly, information filed with the SEC relating to the XLU, including its periodic financial reports, may be found on the SEC website.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><i>Investment Approach</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The XLU utilizes a &#8220;passive&#8221; or &#8220;indexing&#8221; investment approach in attempting to track the performance of the Utilities Select Sector Index. The XLU will invest in substantially all of the securities which comprise the Utilities Select Sector Index. The XLU will normally invest at least 95% of its total assets in common stocks that comprise the Utilities Select Sector Index.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The XLU seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Utilities Select Sector Index. The investment manager of the XLU uses a replication strategy to try to achieve the XLU&#8217;s investment objective, which means that the XLU generally invests in substantially all of the securities represented in the Utilities Select Sector Index in approximately the same proportions as the Utilities Select Sector Index. Under normal market conditions, the XLU generally invests at least 95% of its total assets in the securities comprising the Utilities Select Sector Index. In certain situations or market conditions, the XLU may temporarily depart from its normal investment policies and strategies provided that the alternative is consistent with the XLU&#8217;s investment objective and is in the best interest of the XLU. For example, if the XLU is unable to invest directly in a component security or if a derivative investment may provide higher liquidity than other types of investments, it may make larger than normal investments in derivatives to maintain exposure to the Utilities Select Sector Index that it tracks. Consequently, under such circumstances, the XLU may invest in a different mix of investments than it would under normal circumstances. The XLU will provide shareholders with at least 60 days notice prior to any material change in its investment policies. The XLU is managed with a passive investment strategy, attempting to track the performance of an unmanaged index of securities. This differs from an actively managed underlying, which typically seeks to outperform a benchmark index.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Notwithstanding the XLU&#8217;s investment objective, the return on your Notes will not reflect any dividends paid on shares of the XLU, on the securities purchased by the XLU or on the securities that comprise the Utilities Select Sector Index.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b><i>The Select Sector Indices</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The underlying index of the XLU is part of the Select Sector Indices. The Select Sector Indices are sub-indices of the S&amp;P 500<sup>&#174;</sup>&nbsp;Index (&#8220;SPX&#8221;). Each stock in the SPX is allocated to at least one Select Sector Index, and the combined companies of the eleven Select Sector Indices represent all of the companies in the SPX. The industry indices are sub-categories within each Select Sector Index and represent a specific industry segment of the overall Select Sector Index. The eleven Select Sector Indices seek to represent the eleven SPX sectors. The index compilation agent for these indices (the &#8220;Index Compilation Agent&#8221;) determines the composition of the Select Sector Indices based on S&amp;P&#8217;s sector classification methodology. Sector designations are determined by the index sponsor using criteria it has selected or developed. Index sponsors may use very different standards for determining sector designations. In addition, many companies operate in a number of sectors, but are listed in only one sector and the basis on which that sector is selected may also differ. As a result, sector comparisons between indices with different index sponsors may reflect differences in methodology as well as actual differences in the sector composition of the indices.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Each Select Sector Index was developed and is maintained in accordance with the following criteria:</font>

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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">Each of the component stocks in a Select Sector Index (the &#8220;Component Stocks&#8221;) is a constituent company of the SPX.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">The eleven Select Sector Indices together will include all of the companies represented in the SPX and each of the stocks in the SPX will be allocated to at least one of the Select Sector Indices.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">The Index Compilation Agent assigns each constituent stock of the SPX to a Select Sector Index. The Index Compilation Agent assigns a company&#8217;s stock to a particular Select Sector Index based on S&amp;P Dow Jones Indices&#8217;s sector classification methodology as set forth in its Global Industry Classification Standard.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">Each Select Sector Index is calculated by S&amp;P Dow Jones Indices using a modified &#8220;market capitalization&#8221; methodology. This design ensures that each of the component stocks within a Select Sector Index is represented in a proportion consistent with its percentage with respect to the total market capitalization of that Select Sector Index.</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">For reweighting purposes, each Select Sector Index is rebalanced quarterly after the close of business on the second to last calculation day of March, June, September and December using the following procedures: (1) The rebalancing reference date is two business days prior to the last calculation day of each quarter; and (2) With prices reflected on the rebalancing reference date, and membership, shares outstanding, additional weight factor (capping</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">23</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">factor) and investable weight factors (as described in the section &#8220;Computation of the S&amp;P 500 Index<sup>&#174;</sup>&#8221; below) as of the rebalancing effective date, each company is weighted using the modified market capitalization methodology. Modifications are made as defined below.</font>

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    <div style ="text-indent:16px;margin-top:10px;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">(i)</font>&nbsp;&nbsp;&nbsp;
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">The indices are first evaluated to ensure none of the indices breach the maximum allowable limits defined in rules (ii) and (v) below. If any of the allowable limits are breached, the component stocks are reweighted based on their float-adjusted market capitalization weights.</font>
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">If any component stock has a weight greater than 24%, that component stock has its float-adjusted market capitalization weight capped at 23%. The 23% weight cap creates a 2% buffer to ensure that no component stock exceeds 25% as of the quarter-end diversification requirement date.</font>
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">All excess weight is equally redistributed to all uncapped component stocks within the relevant Select Sector Index.</font>
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">After this redistribution, if the float-adjusted market capitalization weight of any other component stock(s) then breaches 23%, the process is repeated iteratively until no component stock breaches the 23% weight cap.</font>
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    <div style ="text-indent:16px;margin-top:10px;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">(v)</font>&nbsp;&nbsp;&nbsp;
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">The sum of the component stocks with weight greater than 4.8% cannot exceed 50% of the total index weight. These caps are set to allow for a buffer below the 5% limit.</font>
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    <div style ="text-indent:16px;margin-top:10px;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">(vi)</font>&nbsp;&nbsp;&nbsp;
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">If the rule in step (v) is breached, all the component stocks are ranked in descending order of their float-adjusted market capitalization weights and the first component stock that causes the 50% limit to be breached has its weight reduced to 4.6%.</font>
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">This excess weight is equally redistributed to all component stocks with weights below 4.6%. This process is repeated iteratively until step (v) is satisfied.</font>
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    <div style ="text-indent:16px;margin-top:10px;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">(viii)</font>&nbsp;&nbsp;&nbsp;
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">Index share amounts are assigned to each component stock to arrive at the weights calculated above. Since index shares are assigned based on prices one business day prior to rebalancing, the actual weight of each component stock at the rebalancing differs somewhat from these weights due to market movements.</font>
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    <div style ="margin-top:10px;margin-bottom:10px; text-align:left;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;">If necessary, the reweighting process may take place more than once prior to the close on the last business day of March, June, September or December to ensure conformity with all diversification requirements.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">Each Select Sector Index is calculated using the same methodology utilized by S&amp;P Dow Jones Indices in calculating the SPX, using a base-weighted aggregate methodology. The daily calculation of each Select Sector Index is computed by dividing the total market value of the companies in the Select Sector Index by a number called the index divisor.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">The Index Compilation Agent at any time may determine that a Component Stock which has been assigned to one Select Sector Index has undergone such a transformation in the composition of its business, and should be removed from that Select Sector Index and assigned to a different Select Sector Index. In the event that the Index Compilation Agent notifies S&amp;P Dow Jones Indices that a Component Stock&#8217;s Select Sector Index assignment should be changed, S&amp;P Dow Jones Indices will disseminate notice of the change following its standard procedure for announcing index changes and will implement the change in the affected Select Sector Indices on a date no less than one week after the initial dissemination of information on the sector change to the maximum extent practicable. It is not anticipated that Component Stocks will change sectors frequently.</font>
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">Component Stocks removed from and added to the SPX will be deleted from and added to the appropriate Select Sector Index on the same schedule used by S&amp;P Dow Jones Indices for additions and deletions from the SPX insofar as practicable.</font>
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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b><i>The S&amp;P 500</i></b><b><i><sup>&#174;</sup></i></b><b><i>&nbsp;Index</i></b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The SPX includes a representative sample of 500 companies in leading industries of the U.S. economy. The SPX is intended to provide an indication of the pattern of common stock price movement. The calculation of the level of the SPX is based on the relative value of the aggregate market value of the common stocks of 500 companies as of a particular time compared to the aggregate average market value of the common stocks of 500 similar companies during the base period of the years 1941 through 1943.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The SPX includes companies from eleven main groups: Communication Services; Consumer Discretionary; Consumer Staples; Energy; Financials; Health Care; Industrials; Information Technology; Real Estate; Materials; and Utilities. S&amp;P Dow Jones Indices LLC (&#8220;SPDJI&#8221;), the sponsor of the SPX, may from time to time, in its sole discretion, add companies to, or delete companies from, the SPX to achieve the objectives stated above.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">SPDJI calculates the SPX by reference to the prices of the constituent stocks of the SPX without taking account of the value of dividends paid on those stocks. As a result, the return on the Notes will not reflect the return you would realize if you actually owned the SPX constituent stocks and received the dividends paid on those stocks.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Computation of the SPX</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">While SPDJI currently employs the following methodology to calculate the SPX, no assurance can be given that SPDJI will not modify or change this methodology in a manner that may affect payments on the Notes.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">24</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Historically, the market value of any component stock of the SPX was calculated as the product of the market price per share and the number of then outstanding shares of such component stock. In March 2005, SPDJI began shifting the SPX halfway from a market capitalization weighted formula to a float-adjusted formula, before moving the SPX to full float adjustment on September 16, 2005. SPDJI&#8217;s criteria for selecting stocks for the SPX did not change with the shift to float adjustment. However, the adjustment affects each company&#8217;s weight in the SPX.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Under float adjustment, the share counts used in calculating the SPX reflect only those shares that are available to investors, not all of a company&#8217;s outstanding shares. Float adjustment excludes shares that are closely held by control groups, other publicly traded companies or government agencies.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In September 2012, all shareholdings representing more than 5% of a stock&#8217;s outstanding shares, other than holdings by &#8220;block owners,&#8221; were removed from the float for purposes of calculating the SPX. Generally, these &#8220;control holders&#8221; will include officers and directors, private equity, venture capital and special equity firms, other publicly traded companies that hold shares for control, strategic partners, holders of restricted shares, ESOPs, employee and family trusts, foundations associated with the company, holders of unlisted share classes of stock, government entities at all levels (other than government retirement/pension funds) and any individual person who controls a 5% or greater stake in a company as reported in regulatory filings. However, holdings by block owners, such as depositary banks, pension funds, mutual funds and ETF providers, 401(k) plans of the company, government retirement/pension funds, investment funds of insurance companies, asset managers and investment funds, independent foundations and savings and investment plans, will ordinarily be considered part of the float.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Treasury stock, stock options, restricted shares, equity participation units, warrants, preferred stock, convertible stock, and rights are not part of the float. Shares held in a trust to allow investors in countries outside the country of domicile, such as depositary shares and Canadian exchangeable shares, are normally part of the float unless those shares form a control block. If a company has multiple classes of stock outstanding, shares in an unlisted or non-traded class are treated as a control block.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">For each stock, an investable weight factor (&#8220;IWF&#8221;) is calculated by dividing the available float shares by the total shares outstanding. Available float shares are defined as the total shares outstanding less shares held by control holders. This calculation is subject to a 5% minimum threshold for control blocks. For example, if a company&#8217;s officers and directors hold 3% of the company&#8217;s shares, and no other control group holds 5% of the company&#8217;s shares, SPDJI would assign that company an IWF of 1.00, as no control group meets the 5% threshold. However, if a company&#8217;s officers and directors hold 3% of the company&#8217;s shares and another control group holds 20% of the company&#8217;s shares, SPDJI would assign an IWF of 0.77, reflecting the fact that 23% of the company&#8217;s outstanding shares are considered to be held for control. As of July 31, 2017, companies with multiple share class lines are no longer eligible for inclusion in the SPX. Constituents of the SPX prior to July 31, 2017 with multiple share class lines will be grandfathered in and continue to be included in the SPX. If a constituent company of the SPX reorganizes into a multiple share class line structure, that company will remain in the SPX at the discretion of the S&amp;P Index Committee in order to minimize turnover.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The SPX is calculated using a base-weighted aggregate methodology. The level of the SPX reflects the total market value of all component stocks relative to the base period of the years 1941 through 1943. An indexed number is used to represent the results of this calculation in order to make the level easier to work with and track over time. The actual total market value of the component stocks during the base period of the years 1941 through 1943 has been set to an indexed level of 10. This is often indicated by the notation 1941- 43 = 10. In practice, the daily calculation of the SPX is computed by dividing the total market value of the component stocks by the &#8220;index divisor.&#8221; By itself, the index divisor is an arbitrary number. However, in the context of the calculation of the SPX, it serves as a link to the original base period level of the SPX. The index divisor keeps the SPX comparable over time and is the manipulation point for all adjustments to the SPX, which is index maintenance.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Index Maintenance</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Index maintenance includes monitoring and completing the adjustments for company additions and deletions, share changes, stock splits, stock dividends, and stock price adjustments due to company restructuring or spinoffs. Some corporate actions, such as stock splits and stock dividends, require changes in the common shares outstanding and the stock prices of the companies in the SPX, and do not require index divisor adjustments.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">To prevent the level of the SPX from changing due to corporate actions, corporate actions which affect the total market value of the SPX require an index divisor adjustment. By adjusting the index divisor for the change in market value, the level of the SPX remains constant and does not reflect the corporate actions of individual companies in the SPX. Index divisor adjustments are made after the close of trading and after the calculation of the SPX closing level.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Changes in a company&#8217;s shares outstanding of 5.00% or more due to mergers, acquisitions, public offerings, tender offers, Dutch auctions, or exchange offers are made as soon as reasonably possible. Share changes due to mergers or acquisitions of publicly held companies that trade on a major exchange are implemented when the transaction occurs, even if both of the companies are not in the same headline index, and regardless of the size of the change. All other changes of 5.00% or more (due to, for example, company stock repurchases, private placements, redemptions, exercise of options, warrants, conversion of preferred stock, notes, debt, equity participation units, at-the-market offerings, or other recapitalizations) are made weekly and are announced on Fridays for implementation after the close of trading on the following Friday. Changes of less than 5.00% are accumulated and made quarterly on the third Friday of March, June, September, and December, and are usually announced two to five days prior.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">If a change in a company&#8217;s shares outstanding of 5.00% or more causes a company&#8217;s IWF to change by five percentage points or more, the IWF is updated at the same time as the share change. IWF changes resulting from partial tender offers are considered on a case by case basis.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">25</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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    <div style="text-align:left; border-width:1px 1px 1px 1px; border-style:none none none none;"><font style="font-size:8pt;font-family:'Helvetica',Times,serif;"></font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b>Historical Performance of the XLU</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The following graph sets forth the daily historical performance of the XLU in the period from January 2, 2020 through the pricing date. We obtained this historical data from Bloomberg L.P. We have not independently verified the accuracy or completeness of the information obtained from Bloomberg L.P. On the pricing date, the Closing Market Price of the XLU was $90.63.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">This historical data on the XLU is not necessarily indicative of the future performance of the XLU or what the value of the Notes may be. Any historical upward or downward trend in the Closing Market Price of the XLU during any period set forth above is not an indication that the Closing Market Price of the XLU is more or less likely to increase or decrease at any time over the term of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Before investing in the Notes, you should consult publicly available sources for the Closing Market Prices and trading pattern of the XLU.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">26</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Supplement to the Plan of Distribution; Role of BofAS and Conflicts of Interest</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">BofAS, a broker-dealer affiliate of ours, is a member of the Financial Industry Regulatory Authority, Inc. (&#8220;FINRA&#8221;) and will participate as selling agent in the distribution of the Notes. Accordingly, the offering of the Notes will conform to the requirements of FINRA Rule 5121. BofAS may not make sales in this offering to any of its discretionary accounts without the prior written approval of the account holder.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">We will deliver the Notes against payment therefor in New York, New York on a date that is greater than one business day following the pricing date. Under Rule 15c6-1 of the Securities Exchange Act of 1934, trades in the secondary market generally are required to settle in one business day, unless the parties to any such trade expressly agree otherwise. Accordingly, purchasers who wish to trade the Notes more than one business day prior to the original issue date will be required to specify alternative settlement arrangements to prevent a failed settlement.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Under our distribution agreement with BofAS, BofAS will purchase the Notes from us as principal at the public offering price indicated on the cover of this pricing supplement, less the indicated underwriting discount, if any. BofAS will sell the Notes to other broker-dealers that will participate in the offering and that are not affiliated with us, at an agreed discount to the principal amount. Each of those broker-dealers may sell the Notes to one or more additional broker-dealers. BofAS has informed us that these discounts may vary from dealer to dealer and that not all dealers will purchase or repurchase the Notes at the same discount. Certain dealers who purchase the Notes for sale to certain fee-based advisory accounts may forgo some or all of their selling concessions, fees or commissions. The public offering price for investors purchasing the Notes in these fee-based advisory accounts may be as low as $999.40 per $1,000.00 in principal amount of Notes. In addition to the underwriting discount, if any, an affiliate of BofA Finance will pay a referral fee of up to $1.40 per $1,000.00 in principal amount of Notes in connection with the distribution of the Notes to other registered broker-dealers.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">BofAS and any of our other broker-dealer affiliates may use this pricing supplement and the accompanying product supplement, prospectus supplement and prospectus for offers and sales in secondary market transactions and market-making transactions in the Notes. However, they are not obligated to engage in such secondary market transactions and/or market-making transactions. These broker-dealer affiliates may act as principal or agent in these transactions, and any such sales will be made at prices related to prevailing market conditions at the time of the sale.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">At BofAS&#8217;s discretion, for a short, undetermined initial period after the issuance of the Notes, BofAS may offer to buy the Notes in the secondary market at a price that may exceed the initial estimated value of the Notes. Any price offered by BofAS for the Notes will be based on then-prevailing market conditions and other considerations, including the performance of the Underlyings and the remaining term of the Notes. However, none of us, the Guarantor, BofAS or any of our other affiliates is obligated to purchase your Notes at any price or at any time, and we cannot assure you that any party will purchase your Notes at a price that equals or exceeds the initial estimated value of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Any price that BofAS may pay to repurchase the Notes will depend upon then prevailing market conditions, the creditworthiness of us and the Guarantor, and transaction costs. At certain times, this price may be higher than or lower than the initial estimated value of the Notes.</font>

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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b>European Economic Area and United Kingdom</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">None of this pricing supplement, the accompanying product supplement, the accompanying prospectus or the accompanying prospectus supplement is a prospectus for the purposes of the Prospectus Regulation (as defined below). This pricing supplement, the accompanying product supplement, the accompanying prospectus and the accompanying prospectus supplement have been prepared on the basis that any offer of Notes in any Member State of the European Economic Area (the &#8220;EEA&#8221;) or in the United Kingdom (each, a &#8220;Relevant State&#8221;) will only be made to a legal entity which is a qualified investor under the Prospectus Regulation (&#8220;Qualified Investors&#8221;). Accordingly any person making or intending to make an offer in that Relevant State of Notes which are the subject of the offering contemplated in this pricing supplement, the accompanying product supplement, the accompanying prospectus and the accompanying prospectus supplement may only do so with respect to Qualified Investors. Neither BofA Finance nor BAC has authorized, nor does it authorize, the making of any offer of Notes other than to Qualified Investors. The expression &#8220;Prospectus Regulation&#8221; means Regulation (EU) 2017/1129.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>PROHIBITION OF SALES TO EEA AND UNITED KINGDOM RETAIL INVESTORS</b>&nbsp;&#8211; The Notes are not intended to be offered, sold or otherwise made available to and should not be offered, sold or otherwise made available to any retail investor in the EEA or in the United Kingdom. For these purposes: (a) a retail investor means a person who is one (or more) of: (i) a retail client as defined in point (11) of Article 4(1) of Directive 2014/65/EU, as amended (&#8220;MiFID II&#8221;); or (ii) a customer within the meaning of Directive (EU) 2016/97 (the Insurance Distribution Directive) where that customer would not qualify as a professional client as defined in point (10) of Article 4(1) of MiFID II; or (iii) not a qualified investor as defined in the Prospectus Regulation; and (b) the expression &#8220;offer&#8221; includes the communication in any form and by any means of sufficient information on the terms of the offer and the Notes to be offered so as to enable an investor to decide to purchase or subscribe for the Notes. Consequently no key information document required by Regulation (EU) No 1286/2014, as amended (the &#8220;PRIIPs Regulation&#8221;) for offering or selling the Notes or otherwise making them available to retail investors in the EEA or in the United Kingdom has been prepared and therefore offering or selling the Notes or otherwise making them available to any retail investor in the EEA or in the United Kingdom may be unlawful under the PRIIPs Regulation.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">27</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;font-family:'Helvetica',Times,serif;"><b>United Kingdom</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The communication of this pricing supplement, the accompanying product supplement, the accompanying prospectus supplement, the accompanying prospectus and any other document or materials relating to the issue of the Notes offered hereby is not being made, and such documents and/or materials have not been approved, by an authorized person for the purposes of Section 21 of the United Kingdom&#8217;s Financial Services and Markets Act 2000, as amended (the &#8220;FSMA&#8221;). Accordingly, such documents and/or materials are not being distributed to, and must not be passed on to, the general public in the United Kingdom. The communication of such documents and/or materials as a financial promotion is only being made to those persons in the United Kingdom who have professional experience in matters relating to investments and who fall within the definition of investment professionals (as defined in Article 19(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended (the &#8220;Financial Promotion Order&#8221;)), or who fall within Article 49(2)(a) to (d) of the Financial Promotion Order, or who are any other persons to whom it may otherwise lawfully be made under the Financial Promotion Order (all such persons together being referred to as &#8220;Relevant Persons&#8221;). In the United Kingdom, the Notes offered hereby are only available to, and any investment or investment activity to which this pricing supplement, the accompanying product supplement, the accompanying prospectus supplement and the accompanying prospectus relates will be engaged in only with, Relevant Persons. Any person in the United Kingdom that is not a relevant person should not act or rely on this pricing supplement, the accompanying product supplement, the accompanying prospectus supplement or the accompanying prospectus or any of their contents.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Any invitation or inducement to engage in investment activity (within the meaning of Section 21 of the FSMA) in connection with the issue or sale of the Notes may only be communicated or caused to be communicated in circumstances in which Section 21(1) of the FSMA does not apply to BofA Finance, as Issuer, or BAC, as Guarantor.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">All applicable provisions of the FSMA must be complied with in respect to anything done by any person in relation to the Notes in, from or otherwise involving the United Kingdom.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">28</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Structuring the Notes</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Notes are our debt securities, the return on which is linked to the performance of the Underlyings. The related guarantee is BAC&#8217;s obligation. As is the case for all of our and BAC&#8217;s respective debt securities, including our market-linked notes, the economic terms of the Notes reflect our and BAC&#8217;s actual or perceived creditworthiness at the time of pricing. In addition, because market-linked notes result in increased operational, funding and liability management costs to us and BAC, BAC typically borrows the funds under these types of notes at a rate, which we refer to in this pricing supplement as BAC&#8217;s internal funding rate, that is more favorable to BAC than the rate that it might pay for a conventional fixed or floating rate debt security. This generally relatively lower internal funding rate, which is reflected in the economic terms of the Notes, along with the fees and charges associated with market-linked notes, resulted in the initial estimated value of the Notes on the pricing date being less than their public offering price.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In order to meet our payment obligations on the Notes, at the time we issue the Notes, we may choose to enter into certain hedging arrangements (which may include call options, put options or other derivatives) with BofAS or one of our other affiliates. The terms of these hedging arrangements are determined based upon terms provided by BofAS and its affiliates, and take into account a number of factors, including our and BAC&#8217;s creditworthiness, interest rate movements, the volatility of the Underlyings, the tenor of the Notes and the hedging arrangements. The economic terms of the Notes and their initial estimated value depend in part on the terms of these hedging arrangements.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">BofAS has advised us that the hedging arrangements will include hedging related charges, reflecting the costs associated with, and our affiliates&#8217; profit earned from, these hedging arrangements. Since hedging entails risk and may be influenced by unpredictable market forces, actual profits or losses from these hedging transactions may be more or less than any expected amounts.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">For further information, see &#8220;Risk Factors&#8221; beginning on page PS-5 and &#8220;Supplemental Use of Proceeds&#8221; on page PS-20 of the accompanying product supplement.</font>

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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Validity of the Notes</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In the opinion of Sidley Austin LLP, as counsel to BofA Finance and BAC, when the trustee has made the appropriate entries or notations on Schedule 1 to the master global note that represents the Notes (the &#8220;Master Note&#8221;) identifying the Notes offered hereby as supplemental obligations thereunder in accordance with the instructions of BofA Finance, and the Notes have been delivered against payment as contemplated herein, such Notes will be valid and binding obligations of BofA Finance, and the related guarantee will be a valid and binding obligation of BAC, in each case, enforceable in accordance with their terms, subject to applicable bankruptcy, insolvency and similar laws affecting creditors&#8217; rights generally, concepts of reasonableness and equitable principles of general applicability (including, without limitation, concepts of good faith, fair dealing and the lack of bad faith), provided that such counsel expresses no opinion as to the effect of fraudulent conveyance, fraudulent transfer or similar provision of applicable law on the conclusions expressed above. This opinion is given as of the date hereof and is limited to the Delaware Limited Liability Company Act, the Delaware General Corporation Law and the laws of the State of New York as in effect on the date hereof. In addition, this opinion is subject to customary assumptions about the trustee&#8217;s authorization, execution and delivery of the indenture and due authentication of the Master Note and the genuineness of signatures and certain factual matters, all as stated in the letter of such counsel dated October 16, 2025 which has been filed as Exhibit 5.1 to the Company&#8217;s Current Report on Form 8-K filed with the Securities and Exchange Commission on October 16, 2025.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">29</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">U.S. Federal Income Tax Summary</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The following summary of the material U.S. federal income and estate tax considerations of the acquisition, ownership, and disposition of the Notes supplements, and to the extent inconsistent supersedes, the discussion under &#8220;U.S. Federal Income Tax Considerations&#8221; in the accompanying prospectus and is not exhaustive of all possible tax considerations. This summary is based upon the Internal Revenue Code of 1986, as amended (the &#8220;Code&#8221;), regulations promulgated under the Code by the U.S. Treasury Department (&#8220;Treasury&#8221;) (including proposed and temporary regulations), rulings, current administrative interpretations and official pronouncements of the IRS, and judicial decisions, all as currently in effect and all of which are subject to differing interpretations or to change, possibly with retroactive effect. No assurance can be given that the IRS would not assert, or that a court would not sustain, a position contrary to any of the tax consequences described below. This summary does not include any description of the tax laws of any state or local governments, or of any foreign government, that may be applicable to a particular holder.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Although the Notes are issued by us, they will be treated as if they were issued by BAC for U.S. federal income tax purposes. Accordingly throughout this tax discussion, references to &#8220;we,&#8221; &#8220;our&#8221; or &#8220;us&#8221; are generally to BAC unless the context requires otherwise.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">This summary is directed solely to U.S. Holders and Non-U.S. Holders that, except as otherwise specifically noted, will purchase the Notes upon original issuance and will hold the Notes as capital assets within the meaning of Section 1221 of the Code, which generally means property held for investment, and that are not excluded from the discussion under &#8220;U.S. Federal Income Tax Considerations&#8221; in the accompanying prospectus.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">You should consult your own tax advisor concerning the U.S. federal income tax consequences to you of acquiring, owning, and disposing of the Notes, as well as any tax consequences arising under the laws of any state, local, foreign, or other tax jurisdiction and the possible effects of changes in U.S. federal or other tax laws.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>General</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Although there is no statutory, judicial, or administrative authority directly addressing the characterization of the Notes, we intend to treat the Notes for all tax purposes as contingent income-bearing single financial contracts with respect to the Underlyings and under the terms of the Notes, we and every investor in the Notes agree, in the absence of an administrative determination or judicial ruling to the contrary, to treat the Notes in accordance with such characterization. In the opinion of our counsel, Sidley Austin LLP, it is reasonable to treat the Notes as contingent income-bearing single financial contracts with respect to the Underlyings. This discussion assumes that the Notes constitute contingent income-bearing single financial contracts with respect to the Underlyings for U.S. federal income tax purposes. If the Notes did not constitute contingent income-bearing single financial contracts, the tax consequences described below would be materially different.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>This characterization of the Notes is not binding on the IRS or the courts. No statutory, judicial, or administrative authority directly addresses the characterization of the Notes or any similar instruments for U.S. federal income tax purposes, and no ruling is being requested from the IRS with respect to their proper characterization and treatment. Due to the absence of authorities on point, significant aspects of the U.S. federal income tax consequences of an investment in the Notes are not certain, and no assurance can be given that the IRS or any court will agree with the characterization and tax treatment described in this pricing supplement. Accordingly, you are urged to consult your tax advisor regarding all aspects of the U.S. federal income tax consequences of an investment in the Notes, including possible alternative characterizations.</i></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Unless otherwise stated, the following discussion is based on the characterization described above. The discussion in this section assumes that there is a significant possibility of a significant loss of principal on an investment in the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">We will not attempt to ascertain whether the issuer of an Underlying or the issuer of any component stock included in an Underlying that is an index would be treated as a &#8220;passive foreign investment company&#8221; (&#8220;PFIC&#8221;), within the meaning of Section 1297 of the Code, or a United States real property holding corporation, within the meaning of Section 897(c) of the Code. If the issuer of an Underlying or the issuer of one or more stocks included in an Underlying that is an index were so treated, certain adverse U.S. federal income tax consequences could possibly apply to a holder of the Notes. You should refer to information filed with the SEC by the issuer of an Underlying or the issuers of the component stocks included in each Underlying that is an index and consult your tax advisor regarding the possible consequences to you, if any, if the issuer of an Underlying or the issuer of any component stock included in an Underlying that is an index is or becomes a PFIC or is or becomes a United States real property holding corporation.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>U.S. Holders</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Although the U.S. federal income tax treatment of any Contingent Coupon Payment on the Notes is uncertain, we intend to take the position, and the following discussion assumes, that any Contingent Coupon Payment constitutes taxable ordinary income to a U.S. Holder at the time received or accrued in accordance with the U.S. Holder&#8217;s regular method of accounting. &nbsp;By purchasing the Notes you agree, in the absence of an administrative determination or judicial ruling to the contrary, to treat any Contingent Coupon Payment as described in the preceding sentence.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Upon receipt of a cash payment at maturity or upon a sale, exchange, or redemption of the Notes prior to maturity, a U.S. Holder generally will recognize capital gain or loss equal to the difference between the amount realized (other than amounts representing any Contingent Coupon Payment, which would be taxed as described above) and the U.S. Holder&#8217;s tax basis in the Notes. A U.S. Holder&#8217;s tax basis in the Notes will equal the amount paid by that holder to acquire them. Subject to the discussion below concerning the possible application of the &#8220;constructive ownership&#8221; rules of Section 1260 of</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">30</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">the Code, this capital gain or loss generally will be long-term capital gain or loss if the U.S. Holder held the Notes for more than one year. The deductibility of capital losses is subject to limitations.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Possible Application of Section 1260 of the Code.&nbsp;</i>Since one Underlying is the type of financial asset described under Section 1260 of the Code (including, among others, any equity interest in pass-through entities such as exchange traded funds, regulated investment companies, real estate investment trusts, partnerships, and passive foreign investment companies, each a &#8220;Section 1260 Financial Asset&#8221;), while the matter is not entirely clear, there may exist a risk that an investment in the Notes will be treated , in whole or in part, as a &#8220;constructive ownership transaction&#8221; to which Section 1260 of the Code applies. If Section 1260 of the Code applies, all or a portion of any long-term capital gain recognized by a U.S. Holder in respect of the Notes will be recharacterized as ordinary income (the &#8220;Excess Gain&#8221;). In addition, an interest charge will also apply to any deemed underpayment of tax in respect of any Excess Gain to the extent such gain would have resulted in gross income inclusion for the U.S. Holder in taxable years prior to the taxable year of the sale, exchange, redemption, or settlement (assuming such income accrued at a constant rate equal to the applicable federal rate as of the date of sale, exchange, redemption, or settlement).</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">If an investment in the Notes is treated as a constructive ownership transaction, it is not clear to what extent any long-term capital gain of a U.S. Holder in respect of the Notes will be recharacterized as ordinary income. It is possible, for example, that the amount of the Excess Gain (if any) that would be recharacterized as ordinary income in respect of the Notes will equal the excess of (i) any long-term capital gain recognized by the U.S. Holder in respect of the Notes and attributable to Section 1260 Financial Assets, over (ii) the &#8220;net underlying long-term capital gain&#8221; (as defined in Section 1260 of the Code) such U.S. Holder would have had if such U.S. Holder had acquired an amount of the corresponding Section 1260 Financial Assets at fair market value on the original issue date for an amount equal to the portion of the issue price of the Notes attributable to the corresponding Section 1260 Financial Assets and sold such amount of Section 1260 Financial Assets at maturity or upon sale, exchange or redemption of the Notes at fair market value. Unless otherwise established by clear and convincing evidence, the net underlying long-term capital gain is treated as zero and therefore it is possible that all long-term capital gain recognized by a U.S. Holder in respect of the Notes will be recharacterized as ordinary income if Section 1260 of the Code applies to an investment in the Notes. U.S. Holders should consult their tax advisors regarding the potential application of Section 1260 of the Code to an investment in the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">As described below, the IRS, as indicated in Notice 2008-2 (the &#8220;Notice&#8221;), is considering whether Section 1260 of the Code generally applies or should apply to the Notes, including in situations where the Underlyings are not the type of financial asset described under Section 1260 of the Code.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>Alternative Tax Treatments.&nbsp;</i>Due to the absence of authorities that directly address the proper tax treatment of the Notes, prospective investors are urged to consult their tax advisors regarding all possible alternative tax treatments of an investment in the Notes. In particular, the IRS could seek to subject the Notes to the Treasury regulations governing contingent payment debt instruments. If the IRS were successful in that regard, the timing and character of income on the Notes would be affected significantly. Among other things, a U.S. Holder would be required to accrue original issue discount every year at a &#8220;comparable yield&#8221; determined at the time of issuance. In addition, any gain realized by a U.S. Holder at maturity or upon a sale, exchange, or redemption of the Notes generally would be treated as ordinary income, and any loss realized at maturity or upon a sale, exchange, or redemption of the Notes generally would be treated as ordinary loss to the extent of the U.S. Holder&#8217;s prior accruals of original issue discount, and as capital loss thereafter.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In addition, it is possible that the Notes could be treated as a unit consisting of a deposit and a put option written by the Note holder, in which case the timing and character of income on the Notes would be affected significantly.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Notice sought comments from the public on the taxation of financial instruments currently taxed as &#8220;prepaid forward contracts.&#8221; This Notice addresses instruments such as the Notes. According to the Notice, the IRS and Treasury are considering whether a holder of an instrument such as the Notes should be required to accrue ordinary income on a current basis, regardless of whether any payments are made prior to maturity. It is not possible to determine what guidance the IRS and Treasury will ultimately issue, if any. Any such future guidance may affect the amount, timing and character of income, gain, or loss in respect of the Notes, possibly with retroactive effect.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The IRS and Treasury are also considering additional issues, including whether additional gain or loss from such instruments should be treated as ordinary or capital, whether foreign holders of such instruments should be subject to withholding tax on any deemed income accruals, whether Section 1260 of the Code, concerning certain &#8220;constructive ownership transactions,&#8221; generally applies or should generally apply to such instruments, and whether any of these determinations depend on the nature of the underlying asset.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">In addition, proposed Treasury regulations require the accrual of income on a current basis for contingent payments made under certain notional principal contracts. The preamble to the regulations states that the &#8220;wait and see&#8221; method of accounting does not properly reflect the economic accrual of income on those contracts, and requires current accrual of income for some contracts already in existence. While the proposed regulations do not apply to prepaid forward contracts, the preamble to the proposed regulations expresses the view that similar timing issues exist in the case of prepaid forward contracts. If the IRS or Treasury publishes future guidance requiring current economic accrual for contingent payments on prepaid forward contracts, it is possible that you could be required to accrue income over the term of the Notes.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Because of the absence of authority regarding the appropriate tax characterization of the Notes, it is also possible that the IRS could seek to characterize the Notes in a manner that results in tax consequences that are different from those described above. For example, the IRS could possibly assert that any gain or loss that a holder may recognize at maturity or upon the sale, exchange, or redemption of the Notes should be treated as ordinary</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">31</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">gain or loss.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Because some of the Underlyings are indices that periodically rebalance, it is possible that the Notes could be treated as a series of contingent income-bearing single financial contracts, each of which matures on the next rebalancing date. If the Notes were properly characterized in such a manner, a U.S. Holder would be treated as disposing of the Notes on each rebalancing date in return for new Notes that mature on the next rebalancing date, and a U.S. Holder would accordingly likely recognize capital gain or loss on each rebalancing date equal to the difference between the holder&#8217;s tax basis in the Notes (which would be adjusted to take into account any prior recognition of gain or loss) and the fair market value of the Notes on such date.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>Non-U.S. Holders</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Because the U.S. federal income tax treatment of the Notes (including any Contingent Coupon Payment) is uncertain, we (or the applicable paying agent) will withhold U.S. federal income tax at a 30% rate (or at a lower rate under an applicable income tax treaty) on the entire amount of any Contingent Coupon Payment made unless such payments are effectively connected with the conduct by the Non-U.S. Holder of a trade or business in the U.S. (in which case, to avoid withholding, the Non-U.S. Holder will be required to provide a Form W-8ECI). We (or the applicable paying agent) will not pay any additional amounts in respect of such withholding. To claim benefits under an income tax treaty, a Non-U.S. Holder must obtain a taxpayer identification number and certify as to its eligibility under the appropriate treaty&#8217;s limitations on benefits article, if applicable. In addition, special rules may apply to claims for treaty benefits made by Non-U.S. Holders that are entities rather than individuals. The availability of a lower rate of withholding under an applicable income tax treaty will depend on whether such rate applies to the characterization of the payments under U.S. federal income tax laws. A Non-U.S. Holder that is eligible for a reduced rate of U.S. federal withholding tax pursuant to an income tax treaty may obtain a refund of any excess amounts withheld by filing an appropriate claim for refund with the IRS.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Except as discussed below, a Non-U.S. Holder generally will not be subject to U.S. federal income or withholding tax for amounts paid in respect of the Notes (not including, for the avoidance of doubt, amounts representing any Contingent Coupon Payment which would be subject to the rules discussed in the previous paragraph) upon the sale, exchange, or redemption of the Notes or their settlement at maturity, provided that the Non-U.S. Holder complies with applicable certification requirements and that the payment is not effectively connected with the conduct by the Non-U.S. Holder of a U.S. trade or business. Notwithstanding the foregoing, gain from the sale, exchange, or redemption of the Notes or their settlement at maturity may be subject to U.S. federal income tax if that Non-U.S. Holder is a non-resident alien individual and is present in the U.S. for 183 days or more during the taxable year of the sale, exchange, redemption, or settlement and certain other conditions are satisfied.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">If a Non-U.S. Holder of the Notes is engaged in the conduct of a trade or business within the U.S. and if any Contingent Coupon Payment and gain realized on the settlement at maturity, or upon sale, exchange, or redemption of the Notes, is effectively connected with the conduct of such trade or business (and, if certain tax treaties apply, is attributable to a permanent establishment maintained by the Non-U.S. Holder in the U.S.), the Non-U.S. Holder, although exempt from U.S. federal withholding tax, generally will be subject to U.S. federal income tax on such Contingent Coupon Payment and gain on a net income basis in the same manner as if it were a U.S. Holder. Such Non-U.S. Holders should read the material under the heading &#8220;&#8212;U.S. Holders,&#8221; for a description of the U.S. federal income tax consequences of acquiring, owning, and disposing of the Notes. In addition, if such Non-U.S. Holder is a foreign corporation, it may also be subject to a branch profits tax equal to 30% (or such lower rate provided by any applicable tax treaty) of a portion of its earnings and profits for the taxable year that are effectively connected with its conduct of a trade or business in the U.S., subject to certain adjustments.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">A &#8220;dividend equivalent&#8221; payment is treated as a dividend from sources within the United States and such payments generally would be subject to a 30% U.S. withholding tax if paid to a Non-U.S. Holder. Under Treasury regulations, payments (including deemed payments) with respect to equity-linked instruments (&#8220;ELIs&#8221;) that are &#8220;specified ELIs&#8221; may be treated as dividend equivalents if such specified ELIs reference an interest in an &#8220;underlying security,&#8221; which is generally any interest in an entity taxable as a corporation for U.S. federal income tax purposes if a payment with respect to such interest could give rise to a U.S. source dividend. However, IRS guidance provides that withholding on dividend equivalent payments will not apply to specified ELIs that are not delta-one instruments and that are issued before January 1, 2027. Based on our determination that the Notes are not delta-one instruments, Non-U.S. Holders should not be subject to withholding on dividend equivalent payments, if any, under the Notes. However, it is possible that the Notes could be treated as deemed reissued for U.S. federal income tax purposes upon the occurrence of certain events affecting the Underlyings or the Notes, and following such occurrence the Notes could be treated as subject to withholding on dividend equivalent payments. Non-U.S. Holders that enter, or have entered, into other transactions in respect of the Underlyings or the Notes should consult their tax advisors as to the application of the dividend equivalent withholding tax in the context of the Notes and their other transactions. If any payments are treated as dividend equivalents subject to withholding, we (or the applicable paying agent) would be entitled to withhold taxes without being required to pay any additional amounts with respect to amounts so withheld.</font>

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    <div style="text-align:left; margin-top:10px;margin-bottom:10px;border-width:1px 1px 1px 1px; border-style:none none none none;">
<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">As discussed above, alternative characterizations of the Notes for U.S. federal income tax purposes are possible. Should an alternative characterization, by reason of change or clarification of the law, by regulation or otherwise, cause payments as to the Notes to become subject to withholding tax in addition to the withholding tax described above, tax will be withheld at the applicable statutory rate. Prospective Non-U.S. Holders should consult their own tax advisors regarding the tax consequences of such alternative characterizations.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><i>U.S. Federal Estate Tax.&nbsp;</i>Under current law, while the matter is not entirely clear, individual Non-U.S. Holders, and entities whose property is potentially includible in those individuals&#8217; gross estates for U.S. federal estate tax purposes (for example, a trust funded by such an individual and with respect to which the individual has retained certain interests or powers), should note that, absent an applicable treaty benefit, a Note is likely to be treated as U.S.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">32</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">situs property, subject to U.S. federal estate tax. These individuals and entities should consult their own tax advisors regarding the U.S. federal estate tax consequences of investing in a Note.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;"><b>Backup Withholding and Information Reporting</b></font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">Please see the discussion under &#8220;U.S. Federal Income Tax Considerations &#8212; General &#8212; Backup Withholding and Information Reporting&#8221; in the accompanying prospectus for a description of the applicability of the backup withholding and information reporting rules to payments made on the Notes.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">33</font>

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<font style="font-size:9pt;font-family:'Helvetica',Times,serif;">Contingent Income Buffered (with Memory Feature) Issuer Callable Yield Notes Linked to the Least Performing of the Nasdaq-100<sup>&#174;</sup> Index, the Russell 2000<sup>&#174;</sup> Index and the Utilities Select Sector SPDR<sup>&#174;</sup> Fund&nbsp;</font>
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<font style="font-size:17pt;font-family:'Helvetica',Times,serif;">Where You Can Find More Information</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The terms and risks of the Notes are contained in this pricing supplement and in the following related product supplement, prospectus supplement and prospectus, which can be accessed at the following links:</font>

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    <div style ="text-indent:16px;"><font style="font-size:16px;color:#5F8CD6;font-family:Calibri Light;">&#8226;</font>&nbsp;&nbsp;&nbsp;
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    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">Product Supplement EQUITY-1 dated December 30, 2022:&nbsp;</font><font style="font-size:8pt;color:#0000FF;font-family:'Helvetica',Times,serif;"><u>
     <br><A HREF="http://www.sec.gov/Archives/edgar/data/1682472/000119312522315473/d429684d424b2.htm">https://www.sec.gov/Archives/edgar/data/1682472/000119312522315473/d429684d424b2.htm</A></u></font>
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    <div style ="text-indent:16px;"><font style="font-size:16px;color:#5F8CD6;font-family:Calibri Light;">&#8226;</font>&nbsp;&nbsp;&nbsp;
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   <td style="padding-top:5px;">
    <div style =" text-align:left;"><font style="font-size:8pt;color:#58595B;font-family:'Helvetica',Times,serif;">Series A MTN prospectus supplement dated December 30, 2022 and prospectus dated December 30, 2022:&nbsp;</font><font style="font-size:8pt;color:#0000FF;font-family:'Helvetica',Times,serif;"><u>
     <br><A HREF="http://www.sec.gov/Archives/edgar/data/1682472/000119312522315195/d409418d424b3.htm">https://www.sec.gov/Archives/edgar/data/1682472/000119312522315195/d409418d424b3.htm</A></u></font>
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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">This pricing supplement and the accompanying product supplement, prospectus supplement and prospectus have been filed as part of a registration statement with the SEC, which may, without cost, be accessed on the SEC website at www.sec.gov or obtained from BofAS by calling 1-800-294-1322. Before you invest, you should read this pricing supplement and the accompanying product supplement, prospectus supplement and prospectus for information about us, BAC and this offering. Any prior or contemporaneous oral statements and any other written materials you may have received are superseded by this pricing supplement and the accompanying product supplement, prospectus supplement and prospectus. Certain terms used but not defined in this pricing supplement have the meanings set forth in the accompanying product supplement or prospectus supplement. Unless otherwise indicated or unless the context requires otherwise, all references in this document to &#8220;we,&#8221; &#8220;us,&#8221; &#8220;our,&#8221; or similar references are to BofA Finance, and not to BAC.</font>

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<font style="font-size:8pt;color:#59595B;font-family:'Helvetica',Times,serif;">The Notes are our senior debt securities. Any payments on the Notes are fully and unconditionally guaranteed by BAC. The Notes and the related guarantee are not insured by the Federal Deposit Insurance Corporation or secured by collateral. The Notes will rank equally in right of payment with all of our other unsecured and unsubordinated obligations, except obligations that are subject to any priorities or preferences by law. The related guarantee will rank equally in right of payment with all of BAC&#8217;s other unsecured and unsubordinated obligations, except obligations that are subject to any priorities or preferences by law, and senior to its subordinated obligations. Any payments due on the Notes, including any repayment of the principal amount, will be subject to the credit risk of BofA Finance, as Issuer, and BAC, as Guarantor.</font>

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<font style="font-size:7pt;color:#231F20;font-family:'Connections Light',Times,serif;">CONTINGENT INCOME BUFFERED (WITH MEMORY FEATURE) ISSUER CALLABLE YIELD NOTES  | &nbsp;PS-</font><font style="font-size:7pt;font-family:'Connections Light',Times,serif;">34</font>

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<DOCUMENT>
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<SEQUENCE>11
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<DESCRIPTION>GRAPHIC
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<html>
<head>
<title></title>
<link rel="stylesheet" type="text/css" href="include/report.css">
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<span style="display: none;">v3.25.3</span><table class="report" border="0" cellspacing="2" id="id2">
<tr>
<th class="tl" colspan="1" rowspan="1"><div style="width: 200px;"><strong>Submission<br></strong></div></th>
<th class="th"><div>Dec. 02, 2025</div></th>
</tr>
<tr class="re">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_ffd_SubmissionLineItems', window );"><strong>Submission [Line Items]</strong></a></td>
<td class="text">&#160;<span></span>
</td>
</tr>
<tr class="ro">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_dei_EntityCentralIndexKey', window );">Central Index Key</a></td>
<td class="text">0001682472<span></span>
</td>
</tr>
<tr class="re">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_dei_EntityRegistrantName', window );">Registrant Name</a></td>
<td class="text">BofA Finance LLC<span></span>
</td>
</tr>
<tr class="ro">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_ffd_RegnFileNb', window );">Registration File Number</a></td>
<td class="text">333-268718-01<span></span>
</td>
</tr>
<tr class="re">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_ffd_FormTp', window );">Form Type</a></td>
<td class="text">S-3<span></span>
</td>
</tr>
<tr class="ro">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_ffd_SubmissnTp', window );">Submission Type</a></td>
<td class="text">424B2<span></span>
</td>
</tr>
<tr class="re">
<td class="pl" style="border-bottom: 0px;" valign="top"><a class="a" href="javascript:void(0);" onclick="Show.showAR( this, 'defref_ffd_FeeExhibitTp', window );">Fee Exhibit Type</a></td>
<td class="text">EX-FILING FEES<span></span>
</td>
</tr>
</table>
<div style="display: none;">
<table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityCentralIndexKey">
<tr><td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="Show.hideAR();">X</a></td></tr>
<tr><td><div class="body" style="padding: 2px;">
<a href="javascript:void(0);" onclick="Show.toggleNext( this );">- Definition</a><div><p>A unique 10-digit SEC-issued value to identify entities that have filed disclosures with the SEC. It is commonly abbreviated as CIK.</p></div>
<a href="javascript:void(0);" onclick="Show.toggleNext( this );">+ References</a><div style="display: none;"><p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br> -Publisher SEC<br> -Name Exchange Act<br> -Number 240<br> -Section 12<br> -Subsection b-2<br></p></div>
<a href="javascript:void(0);" onclick="Show.toggleNext( this );">+ Details</a><div style="display: none;"><table border="0" cellpadding="0" cellspacing="0">
<tr>
<td><strong> Name:</strong></td>
<td style="white-space:nowrap;">dei_EntityCentralIndexKey</td>
</tr>
<tr>
<td style="padding-right: 4px;white-space:nowrap;"><strong> Namespace Prefix:</strong></td>
<td>dei_</td>
</tr>
<tr>
<td><strong> Data Type:</strong></td>
<td>dei:centralIndexKeyItemType</td>
</tr>
<tr>
<td><strong> Balance Type:</strong></td>
<td>na</td>
</tr>
<tr>
<td><strong> Period Type:</strong></td>
<td>duration</td>
</tr>
</table></div>
</div></td></tr>
</table>
<table border="0" cellpadding="0" cellspacing="0" class="authRefData" style="display: none;" id="defref_dei_EntityRegistrantName">
<tr><td class="hide"><a style="color: white;" href="javascript:void(0);" onclick="Show.hideAR();">X</a></td></tr>
<tr><td><div class="body" style="padding: 2px;">
<a href="javascript:void(0);" onclick="Show.toggleNext( this );">- Definition</a><div><p>The exact name of the entity filing the report as specified in its charter, which is required by forms filed with the SEC.</p></div>
<a href="javascript:void(0);" onclick="Show.toggleNext( this );">+ References</a><div style="display: none;"><p>Reference 1: http://www.xbrl.org/2003/role/presentationRef<br> -Publisher SEC<br> -Name Exchange Act<br> -Number 240<br> -Section 12<br> -Subsection b-2<br></p></div>
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end
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<DOCUMENT>
<TYPE>XML
<SEQUENCE>26
<FILENAME>exfilingfees_htm.xml
<DESCRIPTION>IDEA: XBRL DOCUMENT
<TEXT>
<XML>
<?xml version="1.0" encoding="utf-8"?>
<xbrl
  xmlns="http://www.xbrl.org/2003/instance"
  xmlns:dei="http://xbrl.sec.gov/dei/2024"
  xmlns:ffd="http://xbrl.sec.gov/ffd/2024"
  xmlns:iso4217="http://www.xbrl.org/2003/iso4217"
  xmlns:link="http://www.xbrl.org/2003/linkbase"
  xmlns:xlink="http://www.w3.org/1999/xlink">
    <link:schemaRef
      xlink:href="https://xbrl.sec.gov/ffd/2024/ffd-2024.xsd"
      xlink:type="simple"/>
    <context id="rc">
        <entity>
            <identifier scheme="http://www.sec.gov/CIK">0001682472</identifier>
        </entity>
        <period>
            <startDate>2025-12-02</startDate>
            <endDate>2025-12-02</endDate>
        </period>
    </context>
    <unit id="USD">
        <measure>iso4217:USD</measure>
    </unit>
    <unit id="pure">
        <measure>pure</measure>
    </unit>
    <unit id="Shares">
        <measure>shares</measure>
    </unit>
    <ffd:FormTp contextRef="rc" id="ixv-36">S-3</ffd:FormTp>
    <ffd:SubmissnTp contextRef="rc" id="ixv-37">424B2</ffd:SubmissnTp>
    <ffd:FeeExhibitTp contextRef="rc" id="ixv-38">EX-FILING FEES</ffd:FeeExhibitTp>
    <ffd:RegnFileNb contextRef="rc" id="ixv-39">333-268718-01</ffd:RegnFileNb>
    <dei:EntityCentralIndexKey contextRef="rc" id="ixv-40">0001682472</dei:EntityCentralIndexKey>
    <dei:EntityRegistrantName contextRef="rc" id="ixv-41">BofA Finance LLC</dei:EntityRegistrantName>
    <ffd:NrrtvDsclsr contextRef="rc" id="ixv-61">&lt;p style="font-size:10pt;margin-top:0;font-family:Times New Roman;margin-bottom:12pt;text-align:left;"&gt;&lt;span style="color:#000000;white-space:pre-wrap;font-size:12pt;font-family:Times New Roman;"&gt;The prospectus to which this Exhibit is attached is a final prospectus for the related offering. The maximum aggregate offering price for such offering is $&lt;/span&gt;&lt;span style="font-size:12pt;font-family:Times New Roman;color:#000000;white-space:pre-wrap;"&gt;22,244,000.00&lt;/span&gt;&lt;span style="color:#000000;white-space:pre-wrap;font-size:12pt;font-family:Times New Roman;"&gt;.&lt;/span&gt;&lt;/p&gt;</ffd:NrrtvDsclsr>
    <ffd:NrrtvMaxAggtOfferingPric contextRef="rc" decimals="INF" id="ixv-59" unitRef="USD">22244000.00</ffd:NrrtvMaxAggtOfferingPric>
</xbrl>
</XML>
</TEXT>
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