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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 ·  07/26 15:54
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Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, under a preliminary pricing supplement filed with the Securities and Exchange Commission. The notes, due August 16, 2039, have a fixed interest rate of 5.60% per annum and are callable starting February 16, 2027. The notes are unsecured senior debt obligations, subject to Citigroup's credit risk, and will not be listed on any securities exchange. The pricing date is set for August 14, 2024, with an original issue date of August 16, 2024. Citigroup may redeem the notes periodically at 100% of the principal amount plus accrued interest. The notes can be assumed by any wholly owned subsidiary of Citigroup, with Citigroup fully guaranteeing all payments under the notes. The issue price is $1,000 per note, with...Show More
Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, under a preliminary pricing supplement filed with the Securities and Exchange Commission. The notes, due August 16, 2039, have a fixed interest rate of 5.60% per annum and are callable starting February 16, 2027. The notes are unsecured senior debt obligations, subject to Citigroup's credit risk, and will not be listed on any securities exchange. The pricing date is set for August 14, 2024, with an original issue date of August 16, 2024. Citigroup may redeem the notes periodically at 100% of the principal amount plus accrued interest. The notes can be assumed by any wholly owned subsidiary of Citigroup, with Citigroup fully guaranteeing all payments under the notes. The issue price is $1,000 per note, with an underwriting fee of up to $30.00 per note. Citigroup Global Markets Inc., an affiliate of the issuer, will act as the underwriter. The offering is aimed at institutional investors and is not available to retail investors in the European Economic Area or the United Kingdom. The proceeds from the sale of the notes will be used for general corporate purposes and in connection with hedging activities.
花旗集团宣布发行中期高级票据G系列,根据向证券交易委员会提交的初步定价补充文件。票据到期日为2039年8月16日,固定年利率为5.60%,从2027年2月16日起可赎回。该票据是无担保的高级债务,受到花旗集团信用风险的影响,并不会在任何证券交易所上市。定价日期为2024年8月14日,原始发行日期为2024年8月16日。花旗集团可以定期以100%的本金加上应计利息赎回该票据。Citigroup全资担保该票据下的所有付款,该票据可以由花旗集团的任何全资子公司承担。发行价格为每张票据1000美元,发行费用每张票据高达30.00美元。发行人的附属公司Citigroup Global Markets Inc.将担任承销商。该发售面向机构投资者,并且不适用于欧洲经济区或英国的零售投资者。该票据的销售收益将用于一般企业用途和与套期保值活动相关。
花旗集团宣布发行中期高级票据G系列,根据向证券交易委员会提交的初步定价补充文件。票据到期日为2039年8月16日,固定年利率为5.60%,从2027年2月16日起可赎回。该票据是无担保的高级债务,受到花旗集团信用风险的影响,并不会在任何证券交易所上市。定价日期为2024年8月14日,原始发行日期为2024年8月16日。花旗集团可以定期以100%的本金加上应计利息赎回该票据。Citigroup全资担保该票据下的所有付款,该票据可以由花旗集团的任何全资子公司承担。发行价格为每张票据1000美元,发行费用每张票据高达30.00美元。发行人的附属公司Citigroup Global Markets Inc.将担任承销商。该发售面向机构投资者,并且不适用于欧洲经济区或英国的零售投资者。该票据的销售收益将用于一般企业用途和与套期保值活动相关。
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