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Citigroup | 424B2: Prospectus

Citigroup | 424B2: Prospectus

花旗集团 | 424B2:募资说明书
美股sec公告 ·  07/03 16:00
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Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has announced the issuance of Medium-Term Senior Notes, Series N, which are Callable Contingent Coupon Equity Linked Securities. These securities are linked to the performance of the Energy Select Sector SPDR Fund, the Russell 2000 Index, and the S&P 500 Index, and are due on July 20, 2026. The offering, detailed in a preliminary pricing supplement filed with the SEC, is subject to completion and is not yet an offer to sell. The securities are unsecured debt obligations of Citigroup Global Markets Holdings Inc. and are guaranteed by Citigroup Inc. They offer potential for periodic contingent coupon payments that could yield higher than Citigroup's conventional debt securities of the same maturity...Show More
Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has announced the issuance of Medium-Term Senior Notes, Series N, which are Callable Contingent Coupon Equity Linked Securities. These securities are linked to the performance of the Energy Select Sector SPDR Fund, the Russell 2000 Index, and the S&P 500 Index, and are due on July 20, 2026. The offering, detailed in a preliminary pricing supplement filed with the SEC, is subject to completion and is not yet an offer to sell. The securities are unsecured debt obligations of Citigroup Global Markets Holdings Inc. and are guaranteed by Citigroup Inc. They offer potential for periodic contingent coupon payments that could yield higher than Citigroup's conventional debt securities of the same maturity, but come with risks including the possibility of receiving no contingent coupon payments and receiving less than the principal amount at maturity. The securities are callable by Citigroup, meaning they can be redeemed before the maturity date. The pricing date is set for July 15, 2024, with an issue date of July 18, 2024. The securities will not be listed on any securities exchange, and all payments are subject to the credit risk of the issuer and guarantor. The underwriter for the offering is Citigroup Global Markets Inc., and the securities are expected to have an annualized contingent coupon rate of at least 9.90%, determined on the pricing date.
花旗集团全球市场控股公司的子公司已宣布发行中期优先票据N系列,这是可赎回的附有条件优先股息衍生证券。这些证券与能源选择板块SPDR基金、罗素2000指数和标普500指数的表现挂钩,到期日为2026年7月20日。该发行在提交给美国证券交易委员会的初步定价补充说明书中详细列明,仅属于完成,尚未构成出售要约。这些证券是花旗集团全球市场控股公司的无抵押债务,由花旗集团担保。它们具有定期的条件性股息支付潜在收益,可能高于花旗集团同期限的传统债务证券,但存在风险,包括可能未能获得条件性股息支付和到期时获得的本金少于面值。这些证券可由花旗集团主动赎回,即可在到期日之前赎回。定价日期定为2024年7月15日,发行日期定为2024年7月18日。这些证券不会在任何证券交易所上市交易,所有款项均受发行人和担保人的信用风险。此次发行的承销商是花旗集团全球市场公司,预计这些证券的年化条件性股息利率至少为9.90%,将在定价日确定。
花旗集团全球市场控股公司的子公司已宣布发行中期优先票据N系列,这是可赎回的附有条件优先股息衍生证券。这些证券与能源选择板块SPDR基金、罗素2000指数和标普500指数的表现挂钩,到期日为2026年7月20日。该发行在提交给美国证券交易委员会的初步定价补充说明书中详细列明,仅属于完成,尚未构成出售要约。这些证券是花旗集团全球市场控股公司的无抵押债务,由花旗集团担保。它们具有定期的条件性股息支付潜在收益,可能高于花旗集团同期限的传统债务证券,但存在风险,包括可能未能获得条件性股息支付和到期时获得的本金少于面值。这些证券可由花旗集团主动赎回,即可在到期日之前赎回。定价日期定为2024年7月15日,发行日期定为2024年7月18日。这些证券不会在任何证券交易所上市交易,所有款项均受发行人和担保人的信用风险。此次发行的承销商是花旗集团全球市场公司,预计这些证券的年化条件性股息利率至少为9.90%,将在定价日确定。
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