Bank of America, National Association

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Bank of America, National Association Locations

Deposit Rates - May 19, 2022

SAVINGS RATES APY MIN
CD RATES APY MIN
6 Mo CD
0.03% $10,000 Compare
6 Mo CD
0.03% $100,000 Compare
FIXED IRA RATES APY MIN
Fixed IRA
0.05% $1
Special: 12 Mo FIRA
0.07% $2,000
Special: 13 Mo FIRA
0.10% $1,000,000
Special: 25 Mo FIRA
0.10% $1,000,000
Special: 37 Mo FIRA
0.10% $10,000
VARIABLE IRA RATES APY MIN
Var IRA
0.02% $1
INT CHECKING RATES APY MIN
Int Ckg
0.01% $1
Int Ckg
0.01% $2,500

Loan Rates - May 19, 2022

MORTGAGE PURCHASE APR(%) MONTHLY PAYMENT
5 Year Adjustable Jumbo
2.58% $955.62
5 Year Adjustable Conforming
2.66% $955.62
15 Year Fixed Jumbo
2.24% $1,608.77
15 Year Fixed Conforming
2.36% $1,608.77
30 Year Fixed Jumbo
2.63% $987.80
30 Year Fixed Conforming
2.81% $1,004.78
MORTGAGE REFINANCE APR(%) MONTHLY PAYMENT
5 Year Adjustable Jumbo
2.58% $955.62
5 Year Adjustable Conforming
2.66% $955.62
15 Year Fixed Jumbo
2.24% $1,608.77
15 Year Fixed Conforming
2.36% $1,608.77
30 Year Fixed Jumbo
2.63% $987.80
30 Year Fixed Conforming
2.81% $1,004.78
HOME EQUITY RATES APR(%) MONTHLY PAYMENT
Line of Credit
4.70% Varies
AUTO LOAN RATES APR(%) MONTHLY PAYMENT
3 Year
2.59% $722.52
4 Year
2.59% $548.84
5 Year
2.59% $444.68

Overview 2022

General Bank Information

FDIC Insured Yes
FDIC Certificate # 3510
Date Established 1904
Assets $ 2,147.48 billion
Loans $ 967.43 billion
Deposits $ 2,144.38 billion
Capital $ 236.43 billion

Summary Balance Sheet

ASSETS
Cash & Balances due from depository institutions $ 320.80 billion
Interest-bearing balances $ 296.97 billion
Total securities $ 941.78 billion
Federal funds sold and reverse repurchase $ 24.81 billion
Net loans and leases $ 967.43 billion
Loan loss allowance $ 12.37 billion
Trading account assets $ 85.70 billion
Bank premises and fixed assets N.A.
Other real estate owned $ 313.00 million
Goodwill and other intangibles $ 58.57 billion
All other assets $ 100.87 billion
     Total Assets $ 2,147.48 billion

LIABILITIES
Total deposits $ 2,144.38 billion
      Interest-bearing deposits $ 1,251.47 billion
      Deposits held in domestic offices $ 2,025.97 billion
      % insured (estimated) 36.65%
Federal funds purchased and repurchase agreements $ 39.23 billion
Trading liabilities $ 31.45 billion
Other borrowed funds $ 19.87 billion
Subordinated debt $ 1,780.00 million
All other liabilities $ 46.40 billionn
      Total Liabilities $ 2,147.48 billion
      Shareholders’ Equity N.A.

Summary Income Statement

INCOME AND EXPENSES
Total Interest Income $ 43.60 billion
Total Interest Expense $ 836.00 million
Net interest income $ 42.76 billion
Provision for loan and lease losses N.A.
Total non interest income $ 22.13 billion
Total non interest expense $ 40.14 billion
Pre-tax Net Operating Income $ 29.36 billion

Bank of America, National Association is an FDIC insured institution headquartered at 100 N Tryon St, Charlotte, NC 28202.
It was founded in 1904 and has approximately $2,147 billion in assets. Customers can open an account at one of its 5138 branches.

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Savings Comparison

This analysis is for demonstrative purposes only. Savings rates may go up or down, and CD rates may not be renewable for the length of the term of the analysis.

PRODUCT
BANK
BANK TYPE
STATE
AMOUNT
TERM
APY
VS.NATL'L AV.
MIN
MILES

Tax Rate: 30%

All calculations are for demonstration purposes only.

  • 1
    LOCAL CD
    Bank
    VIRGINIA
    $50,000
    6 Month
    0.03%
    0.11x (National Avg. - 0.27%)
    $10,000
    -
    SCENARIO
    Year Rate
    0.03%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 15 11
    2 50,015 15 11
    3 50,030 15 11
    4 50,045 15 11
    5 50,060 15 11
    6 50,075 15 11
    7 50,090 15 11
    8 50,105 15 11
    9 50,120 15 11
    10 50,135 15 11
    11 50,150 15 11
    12 50,165 15 11
    13 50,180 15 11
    14 50,195 15 11
    15 50,210 15 11
    16 50,225 15 11
    17 50,241 15 11
    18 50,256 15 11
    19 50,271 15 11
    20 50,286 15 11
    TOTAL $301 $211
  • 2
    ONLINE CD
    Online Bank
    -
    $50,000
    12 Month
    1.30%
    3.23x (National Avg. - 0.40%)
    $5,000
    -
    SCENARIO
    Year Rate
    1.30%
    Annual
    Interest
    Annual Interest
    (After Tax)
    1 50,000 650 455
    2 50,650 658 461
    3 51,308 667 467
    4 51,975 676 473
    5 52,651 684 479
    6 53,336 693 485
    7 54,029 702 492
    8 54,731 712 498
    9 55,443 721 505
    10 56,164 730 511
    11 56,894 740 518
    12 57,633 749 524
    13 58,383 759 531
    14 59,142 769 538
    15 59,910 779 545
    16 60,689 789 552
    17 61,478 799 559
    18 62,277 810 567
    19 63,087 820 574
    20 63,907 831 582
    TOTAL $14,738 $10,317