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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 17:14
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Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has issued a pricing supplement for Medium-Term Senior Notes, Series N, due January 29, 2026. The unsecured debt securities, linked to the performance of the Nasdaq-100 Index, the Russell 2000 Index, and the S&P 500 Index, offer potential for periodic contingent coupon payments with an annualized rate of approximately 9.20%. These payments are contingent on the performance of the worst-performing index among the three and are not guaranteed. The securities, with a stated principal amount of $1,000 each, were priced on July 24, 2024, and issued on July 29, 2024. Citigroup Inc. fully and unconditionally guarantees all payments due on the securities. The securities will not be listed on any securities exchange, and investors must be willing...Show More
Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has issued a pricing supplement for Medium-Term Senior Notes, Series N, due January 29, 2026. The unsecured debt securities, linked to the performance of the Nasdaq-100 Index, the Russell 2000 Index, and the S&P 500 Index, offer potential for periodic contingent coupon payments with an annualized rate of approximately 9.20%. These payments are contingent on the performance of the worst-performing index among the three and are not guaranteed. The securities, with a stated principal amount of $1,000 each, were priced on July 24, 2024, and issued on July 29, 2024. Citigroup Inc. fully and unconditionally guarantees all payments due on the securities. The securities will not be listed on any securities exchange, and investors must be willing to accept the risks, including limited liquidity and the possibility of receiving no payments if Citigroup and Citigroup Inc. default on their obligations. The securities may be called for mandatory redemption on specified dates, and the value received at maturity may be significantly less than the principal amount, potentially zero, depending on the performance of the specified indices.
花旗集团全球市场控股有限公司已经发布了中期优先票据N系列的定价补充协议,截止2026年1月29日到期。这些无担保债务证券与纳斯达克100指数、罗素2000指数和标普500指数的表现挂钩,提供了大约9.20%的年化利率的潜在定期条件付息。这些付款取决于三个指数中表现最差的那个指数的表现,不受保证。这些证券每张规定面值为1000美元,定价于2024年7月24日,发行于2024年7月29日。花旗集团无条件全额担保证券的所有应付款项。证券不会在任何证券交易所上市,投资者必须愿意承担风险,包括流动性有限和如果花旗集团及其全资附属公司不能履行债务而导致不获得任何付款的可能性。在指定日期,这些证券可能被要求强制赎回,到期收到的价值可能明显低于本金,甚至为零,这取决于指定指数的表现。
花旗集团全球市场控股有限公司已经发布了中期优先票据N系列的定价补充协议,截止2026年1月29日到期。这些无担保债务证券与纳斯达克100指数、罗素2000指数和标普500指数的表现挂钩,提供了大约9.20%的年化利率的潜在定期条件付息。这些付款取决于三个指数中表现最差的那个指数的表现,不受保证。这些证券每张规定面值为1000美元,定价于2024年7月24日,发行于2024年7月29日。花旗集团无条件全额担保证券的所有应付款项。证券不会在任何证券交易所上市,投资者必须愿意承担风险,包括流动性有限和如果花旗集团及其全资附属公司不能履行债务而导致不获得任何付款的可能性。在指定日期,这些证券可能被要求强制赎回,到期收到的价值可能明显低于本金,甚至为零,这取决于指定指数的表现。
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