Company: BK-PK
Filing Date: 2025-02-05
Form Type: 424B2
Source: 0001193125-25-020845
Chunk: 0

Company: Bank of New York Mellon Corp
Filing Date: 2025-02-05
Form: 424B2
Chunk 0
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| Pricing Supplement dated February 4, 2025 (To                                       
 Prospectus dated December 9, 2024 and Prospectus Supplement dated December 9, 2024) 
 THE BANK OF NEW YORK MELLON CORPORATION                                             |     | Rule 424(b)(2)      
 File No. 333-282710 |

Senior Medium-Term Notes Series J (U.S. $ Fixed Rate/Floating Rate) $1,250,000,000 4.942% Fixed Rate/Floating Rate Callable Senior Notes Due 2031 Trade Date: February 4, 2025 Original Issue Date: February 11, 2025 Principal Amount: $1,250,000,000 Net Proceeds (Before Expenses) to Issuer: $1,248,125,000 Price to Public: 100.000% plus accrued interest, if any, from February 11, 2025 Commission/Discount: 0.150% Agent’s Capacity: ☒ Principal Basis ☐ Agency Basis Maturity Date: February 11, 2031 Fixed Rate Period: February 11, 2025 to but excluding February 11, 2030 Floating Rate Period: February 11, 2030 to but excluding February 11, 2031 Interest Payment Dates with Respect to the Fixed Rate Period: Semi-annually on the 11th day of February and August of each year, commencing August 11, 2025 and ending on February 11, 2030 Interest Rate with Respect to the Fixed Rate Period: 4.942% per annum Day Count Convention with Respect to the Fixed Rate Period: 30/360 Interest Payment Dates with Respect to the Floating Rate Period: Quarterly on the 11th day of February, May, August and November of each year, commencing on May 11, 2030 Interest Rate with Respect to the Floating Rate Period: Compounded SOFR (as defined in the Prospectus Supplement), as determined in accordance with the provisions set forth in the Prospectus, Prospectus Supplement and this Pricing Supplement, plus the Spread. In no event will the Interest Rate for any Floating Rate Period Interest Period be less than the Minimum Interest Rate. Floating Rate Period Interest Period: (i) the period from and including any Interest Payment Date (or with respect to the initial Floating Rate Interest Period during the Floating Rate Period only, from and including February 11, 2030) to, but excluding, the next succeeding Interest Payment Date; (