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Citigroup | FWP: Filing under Securities Act Rules 163/433 of free writing prospectuses

Citigroup | FWP: Filing under Securities Act Rules 163/433 of free writing prospectuses

花旗集团 | FWP:自由书写募资说明书
美股sec公告 ·  07/05 15:42
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Citigroup Global Markets Holdings Inc., with Citigroup Inc. as the guarantor, has announced the preliminary terms for a new investment product: 3 Year Autocallable Contingent Coupon Securities. These securities are linked to the performance of the iShares MSCI EAFE ETF (EFA) and the Russell 2000 Index (RTY), with the worst performer determining the payout. The securities have a pricing date set for July 19, 2024, and will mature on July 22, 2027. Investors can earn a contingent coupon of at least 7.25% per annum, paid monthly, provided the worst-performing underlying's closing value is above its coupon barrier value on the valuation date. The coupon barrier and final barrier values are set at 80% of each underlying's initial value. The securities also feature an automatic early...Show More
Citigroup Global Markets Holdings Inc., with Citigroup Inc. as the guarantor, has announced the preliminary terms for a new investment product: 3 Year Autocallable Contingent Coupon Securities. These securities are linked to the performance of the iShares MSCI EAFE ETF (EFA) and the Russell 2000 Index (RTY), with the worst performer determining the payout. The securities have a pricing date set for July 19, 2024, and will mature on July 22, 2027. Investors can earn a contingent coupon of at least 7.25% per annum, paid monthly, provided the worst-performing underlying's closing value is above its coupon barrier value on the valuation date. The coupon barrier and final barrier values are set at 80% of each underlying's initial value. The securities also feature an automatic early redemption clause, which triggers if the worst performer's closing value meets or exceeds its initial value on any autocall date after the first year. The securities, with a stated principal amount of $1,000 each, are subject to significant risks, including the potential loss of principal if the worst performer's final value falls below its final barrier value. Citigroup has highlighted the risks associated with the securities, including credit risk, market volatility, and the lack of a guaranteed repayment of principal at maturity. The offering is detailed in the Preliminary Pricing Supplement dated July 5, 2024, and the securities will not be listed on any securities exchange.
花旗集团担保的Citigroup Global Markets Holdings Inc.已公布新的投资产品: 3年自动可赎回附条件票息证券的初步条款。这些证券与iShares MSCI EAFE ETF (EFA)和Russell 2000 Index (RTY)的表现相关,以表现较差者为决定支付的依据。该证券的定价日期为2024年7月19日,并于2027年7月22日到期。投资者可获得至少7.25%的附条件票息,按月支付,前提是票息评估日时表现较差的基础资产的收盘价高于其票息障碍值。票息障碍和最终障碍值分别设定为各基础资产的初始价值的80%。该证券还具有自动提前赎回的条款,如果自第一年后的任...展开全部
花旗集团担保的Citigroup Global Markets Holdings Inc.已公布新的投资产品: 3年自动可赎回附条件票息证券的初步条款。这些证券与iShares MSCI EAFE ETF (EFA)和Russell 2000 Index (RTY)的表现相关,以表现较差者为决定支付的依据。该证券的定价日期为2024年7月19日,并于2027年7月22日到期。投资者可获得至少7.25%的附条件票息,按月支付,前提是票息评估日时表现较差的基础资产的收盘价高于其票息障碍值。票息障碍和最终障碍值分别设定为各基础资产的初始价值的80%。该证券还具有自动提前赎回的条款,如果自第一年后的任何自动赎回日,表现最差的基础资产的收盘价达到或超过其初始价值,则触发该条款。每张面值为1000美元的证券均存在重大风险,包括如果表现最差的基础资产的最终价值低于其最终障碍价值,则潜在的本金损失。花旗集团已强调与该证券相关的风险,包括信用风险、市场波动性和到期时未保证本金回收。该发行在2024年7月5日的初步定价补充文件中有详细说明,并且该证券不会上市交易所。
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