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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 ·  08/30 16:43
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Citigroup Global Markets Holdings Inc., with Citigroup Inc. as the guarantor, has announced the issuance of 2.5 Year Market-Linked Securities tied to the Nasdaq-100 Index (NDX), with a pricing date set for September 25, 2024. The securities have a valuation date of March 25, 2027, and will mature on March 31, 2027. These securities offer a 100% upside participation rate and a maximum return at maturity of 13.50%. The initial value of the underlying will be based on the NDX's closing value on the pricing date, and the final value will be determined by the closing value on the valuation date. The return amount will be calculated based on the difference between the final and initial underlying values, multiplied by the upside participation rate, capped at the...Show More
Citigroup Global Markets Holdings Inc., with Citigroup Inc. as the guarantor, has announced the issuance of 2.5 Year Market-Linked Securities tied to the Nasdaq-100 Index (NDX), with a pricing date set for September 25, 2024. The securities have a valuation date of March 25, 2027, and will mature on March 31, 2027. These securities offer a 100% upside participation rate and a maximum return at maturity of 13.50%. The initial value of the underlying will be based on the NDX's closing value on the pricing date, and the final value will be determined by the closing value on the valuation date. The return amount will be calculated based on the difference between the final and initial underlying values, multiplied by the upside participation rate, capped at the maximum return. Investors will receive the stated principal amount of $1,000 per security at maturity, plus any positive return amount, but will receive no payment if the final underlying value is less than or equal to the initial value. The securities do not pay interest and do not confer dividend rights or other rights related to the underlying index. The offering is subject to the credit risk of both Citigroup Global Markets Holdings Inc. and Citigroup Inc., and the securities will not be listed on any exchange, potentially affecting their liquidity. The estimated value of the securities on the pricing date is expected to be lower than the issue price. The preliminary pricing supplement, along with other relevant documents, has been filed with the SEC and is available for review.
花旗集团担保的花旗全球市场控股公司宣布发行与纳斯达克100指数(NDX)挂钩的2.5年市场连结证券,定价日设定为2024年9月25日。证券估值日期为2027年3月25日,到期日为2027年3月31日。这些证券提供100%的涨幅参与率和到期时的最高回报率为13.50%。底层资产的初始价值将基于定价日纳斯达克100指数的收盘价,最终价值将由估值日收盘价决定。回报金额将根据最终和初始基础资产价值之间的差额乘以涨幅参与率,上限为最高回报率进行计算。投资者在到期时将收到每张证券的声明本金1000美元,加上任何正回报金额,但如果最终基础资产价值小于或等于初始价值,则不会收到任何支付。证券不支付利息,也不提...展开全部
花旗集团担保的花旗全球市场控股公司宣布发行与纳斯达克100指数(NDX)挂钩的2.5年市场连结证券,定价日设定为2024年9月25日。证券估值日期为2027年3月25日,到期日为2027年3月31日。这些证券提供100%的涨幅参与率和到期时的最高回报率为13.50%。底层资产的初始价值将基于定价日纳斯达克100指数的收盘价,最终价值将由估值日收盘价决定。回报金额将根据最终和初始基础资产价值之间的差额乘以涨幅参与率,上限为最高回报率进行计算。投资者在到期时将收到每张证券的声明本金1000美元,加上任何正回报金额,但如果最终基础资产价值小于或等于初始价值,则不会收到任何支付。证券不支付利息,也不提供与基础指数相关的股息权益或其他权益。此发行受到花旗全球市场控股公司和花旗集团的信用风险的影响,证券将不会在任何交易所上市,可能影响其流动性。证券在定价日期的估计价值预计低于发行价格。初步定价补充资料以及其他相关文件已向美国证券交易委员会(SEC)提交,并可供查阅。
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