Filed under Rule 424 (b)(3), Registration Statement No. 333-103003, 333-103003-01, 333-103003-02, and 333-103003-03 Pricing Supplement No. 122 - dated January 20, 2006 (To prospectus dated August 10, 2004 and prospectus supplement dated August 10, 2004) The Bank of New York Company, Inc. [LOGO] The Bank of New York Company, Inc. $529,297,000 The Bank of New York Company, Inc. CoreNotes(Registered Service Mark) ================================================================= Aggregate Purchasing Proceeds CUSIP Principal Price to Agent's Before Number Amount Public(1) Discount(1) Expenses(1) ================================================================= 0640P1FQ1 $2,767,000 100% 2.00% 98.00% ----------------------------------------------------------------- ================================================================= Interest Interest Stated Rate Per Payment Maturity Survivor's Annum Frequency Date Option ================================================================= 5.55% Semiannual 01/15/2021 YES ----------------------------------------------------------------- Senior Subordinated Medium-Term Notes Series F Interest Payment Dates: The 15th day of January and July of each year commencing 07/15/2006. Redemption Information: Redeemable at the option of The Bank of New York Company, Inc. on 01/15/2009 and each Interest Payment Date thereafter, at a price equal to 100% on 30 calendar days notice. ================================================================= Aggregate Purchasing Proceeds CUSIP Principal Price to Agent's Before Number Amount Public(1) Discount(1) Expenses(1) ================================================================= 0640P1FR9 $1,089,000 100% 2.50% 97.50% ----------------------------------------------------------------- ================================================================= Interest Interest Stated Rate Per Payment Maturity Survivor's Annum Frequency Date Option ================================================================= 5.60% Semiannual 01/15/2031 YES ----------------------------------------------------------------- Senior Subordinated Medium-Term Notes Series F Interest Payment Dates: The 15th day of January and July of each year commencing 07/15/2006. Redemption Information: Redeemable at the option of The Bank of New York Company, Inc. on 01/15/2011 and each Interest Payment Date thereafter, at a price equal to 100% on 30 calendar days notice. ----------------------------------------------------------------- The Bank of New York Company, Inc. One Wall Street New York, New York 10286 Trade Date: 01/20/2006 Issue Date: 01/25/2006 Minimum Denominations/Increments: $1,000/$1,000 Original Issue Discount: No All trades settle without accrued interest and clear SDFS: DTC Book-Entry only Merrill Lynch DTC Participant Number: 161 The defeasance and covenant defeasance provisions of the Senior Indenture and the Senior Subordinated Indenture described under "Description of Senior Debt Securities and Senior Subordinated Debt Securities - Defeasance and Covenant Defeasance" in the Prospectus will apply to the Senior and Senior Subordinated Notes respectively. (1) Expressed as a percentage of the aggregate principal amount "CoreNotes(Registered Service Mark)" is a registered service mark of Merrill Lynch & Co., Inc. Merrill Lynch & Co. Purchasing Agent Acting as Principal ===============================================================================