SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 8-K

                                 CURRENT REPORT

                     PURSUANT TO SECTION 13 OR 15(D) OF THE
                         SECURITIES EXCHANGE ACT OF 1934



Date of Report:  May 24, 2001
(Date of earliest event reported)

Commission File No. 333-56234



                    Bank of America Mortgage Securities, Inc.
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       Delaware                                         94-324470
(State of Incorporation)                    (I.R.S. Employer Identification No.)



201 North Tryon Street, Charlotte, NC                              28255
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Address of principal executive offices                           (Zip Code)



                                 (704) 387-2111
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               Registrant's Telephone Number, including area code




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              (Former name, former address and former fiscal year,
                         if changed since last report)








ITEM 5.  Other Events

                  On May 24, 2001, Bank of America Mortgage Securities, Inc., a
Delaware corporation (the "Registrant"), sold Mortgage Pass-Through
Certificates, Series 2001-6, Class 1-A-1, Class 1-A-2, Class 1-A-3, Class 1-A-4,
Class 1-A-5, Class 1-A-6, Class 1-A-7, Class 1-A-8, Class 1-A-9, Class 1-A-10,
Class 1-A-11, Class 1-A-12, Class 1-A-13, Class 1-A-14, Class 1-A-15, Class
1-A-16, Class 1-A-17, Class 1-A-18, Class 1-A-19, Class 1-A-20, Class 1-A-21,
Class 1-A-22, Class 1-A-23, Class 1-A-24, Class 1-A-25, Class 1-A-26, Class
1-A-27, Class 1-A-28, Class 1-A-29, Class 1-A-30, Class 1-A-31, Class 1-A-32,
Class 1-A-33, Class 1-A-PO, Class 1-A-R, Class 2-A-1, Class 2-A-2, Class 2-A-PO,
Class 2-A-R, Class 1-B-1, Class 1-B-2, Class 1-B-3, Class 2-B-1, Class 2-B-2 and
Class 2-B-3 (the "Offered Certificates"), having an aggregate original principal
balance of $622,986,061.00. The Offered Certificates were issued pursuant to a
Pooling and Servicing Agreement, dated May 24, 2001, among the Registrant, Bank
of America, N.A., as servicer ("BANA") and The Bank of New York, as trustee (the
"Agreement"), a copy of which is filed as an exhibit hereto. Mortgage
Pass-Through Certificates, Series 2001-6, Class 1-B-4, Class 1-B-5, Class 1-B-6,
Class 2-B-4, Class 2-B-5 and Class 2-B-6 Certificates, having an aggregate
initial principal balance of $3,826,021.28 (the "Private Class B Certificates"
and, together with the Offered Certificates, the "Certificates"), were also
issued pursuant to the Agreement.

                  As of the date of initial issuance, the Offered Certificates
evidenced an approximate 99.40% undivided interest in a trust (the "Trust"),
consisting principally of two pools of fixed interest rate, conventional,
monthly pay, fully-amortizing, one- to four-family residential first mortgage
loans. The remaining undivided interests in the Trust are evidenced by the
Private Class B Certificates distributions on which are subordinated to
distributions on the Offered Certificates.

                  Interest on the Offered Certificates will be distributed on
each Distribution Date (as defined in the Agreement). Monthly distributions in
reduction of the principal balance of the Offered Certificates will be allocated
to the Offered Certificates in accordance with the priorities set forth in the
Agreement. Distributions of interest and in reduction of principal balance on
any Distribution Date will be made to the extent that the Pool Distribution
Amount is sufficient therefor.

                  Elections will be made to treat the Trust as two separate
REMICs for federal income tax purposes ("REMIC 1" and "REMIC 2," and each, a
"REMIC"). The Class 1-A-1, Class 1-A-2, Class 1-A-3, Class 1-A-4, Class 1-A-5,
Class 1-A-6, Class 1-A-7, Class 1-A-8, Class 1-A-9, Class 1-A-10, Class 1-A-11,
Class 1-A-12, Class 1-A-13, Class 1-A-14, Class 1-A-15, Class 1-A-16, Class
1-A-17, Class 1-A-18, Class 1-A-19, Class 1-A-20, Class 1-A-21, Class 1-A-22,
Class 1-A-23, Class 1-A-24, Class 1-A-25, Class 1-A-26, Class 1-A-27, Class
1-A-28, Class 1-A-29, Class 1-A-30, Class 1-A-31, Class 1-A-32, Class 1-A-33,
Class 1-A-PO, Class 1-A-R, Class 1-B-1, Class 1-B-2, Class 1-B-3, Class 1-B-4,
Class 1-B-5 and Class 1-B-6 Certificates will be treated as "regular interests"
in REMIC 1 and the Class 1-A-R Certificate will be treated as the "residual
interest" in REMIC 1. The Class 2-A-1, Class 2-A-2, Class 2-A-PO, Class 2-A-R,
Class 2-B-1, Class 2-B-2, Class 2-B-3, Class 2-B-4, Class 2-B-5 and Class 2-B-6
Certificates will be treated as "regular interests" in REMIC 2 and the Class
2-A-R Certificate will be treated as the "residual interest" in REMIC 2.








ITEM 7.  Financial Statements and Exhibits

         (c)  Exhibits


Item 601(a)
of Regulation S-K
Exhibit No.                             Description
- ------------------                      -----------
         (EX-4)                         Pooling and Servicing Agreement, dated
                                        May 24, 2001, among Bank of America
                                        Mortgage Securities, Inc., Bank of
                                        America, N.A. and The Bank of New York,
                                        as trustee.








                  Pursuant to the requirements of the Securities Exchange Act of
1934, the registrant has duly caused this report to be signed on its behalf by
the undersigned hereunto duly authorized.


                                       BANK OF AMERICA MORTGAGE SECURITIES, INC.


May 24, 2001



                                      By:  /s/ Judy Ford
                                         ---------------------------------------
                                         Name:  Judy Ford
                                         Title: Vice President









                                INDEX TO EXHIBITS
                                                               Paper (P) or
Exhibit No.               Description                          Electronic (E)
- -----------               -----------                          --------------

     (EX-4)              Pooling and Servicing                        (E)
                         Agreement, dated May 24, 2001
                         among Bank of America Mortgage
                         Securities, Inc., Bank of
                         America, N.A. and The Bank of
                         New York, as trustee.