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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 ·  09/06 15:47
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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 fixed to floating rate notes linked to SOFR and due on October 6, 2025. The notes, which are unsecured debt securities, will initially bear interest at a fixed rate of 5.50% per annum for the first four months post-issuance, and subsequently at a floating rate based on SOFR plus a 0.15% spread, with a minimum interest rate of 0.00%. The notes are guaranteed by Citigroup Inc. and are designed for investors seeking fixed interest payments initially, followed by floating interest payments tied to SOFR. The pricing date for the notes is set for September 4, 2024, with an original issue date of September...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 fixed to floating rate notes linked to SOFR and due on October 6, 2025. The notes, which are unsecured debt securities, will initially bear interest at a fixed rate of 5.50% per annum for the first four months post-issuance, and subsequently at a floating rate based on SOFR plus a 0.15% spread, with a minimum interest rate of 0.00%. The notes are guaranteed by Citigroup Inc. and are designed for investors seeking fixed interest payments initially, followed by floating interest payments tied to SOFR. The pricing date for the notes is set for September 4, 2024, with an original issue date of September 6, 2024. The notes will not be listed on any securities exchange, indicating potential limited liquidity for investors. Citigroup Global Markets Inc., an affiliate of the issuer, is acting as the underwriter and will receive an underwriting fee of $0.30 per note. The total issue size is $40 million, with proceeds intended for general corporate purposes and hedging related to the notes. Investors are advised to consider the risks detailed in the accompanying prospectus supplement and prospectus, including credit risk, market liquidity, and interest rate variability.
花旗集团全球市场控股有限公司是花旗集团的子公司,已宣布发行中期优先票据N系列,这些票据是固定到浮动利率票据,与SOFR联系,并于2025年10月6日到期。这些票据是无担保债务证券,最初的四个月内将以年利率5.50%的固定利率计息,并随后以基于SOFR加0.15%的利率浮动,最低利率为0.00%。这些票据由花旗集团担保,旨在满足寻求起初固定利息支付,随后与SOFR相关的利息支付的投资者需求。票据的定价日期为2024年9月4日,原始发行日期为2024年9月6日。这些票据不会在任何证券交易所上市,可能对投资者的流动性有所限制。作为承销商,发行人的附属机构花旗全球市场控股有限公司将获得每张票据0.30美元的承销费。总发行规模为4000万美元,所得款项用于一般公司用途和与该票据相关的对冲交易。建议投资者考虑随附的招股说明书补充和招股说明书中详细列出的风险,包括信用风险、市场流动性和利率变动性。
花旗集团全球市场控股有限公司是花旗集团的子公司,已宣布发行中期优先票据N系列,这些票据是固定到浮动利率票据,与SOFR联系,并于2025年10月6日到期。这些票据是无担保债务证券,最初的四个月内将以年利率5.50%的固定利率计息,并随后以基于SOFR加0.15%的利率浮动,最低利率为0.00%。这些票据由花旗集团担保,旨在满足寻求起初固定利息支付,随后与SOFR相关的利息支付的投资者需求。票据的定价日期为2024年9月4日,原始发行日期为2024年9月6日。这些票据不会在任何证券交易所上市,可能对投资者的流动性有所限制。作为承销商,发行人的附属机构花旗全球市场控股有限公司将获得每张票据0.30美元的承销费。总发行规模为4000万美元,所得款项用于一般公司用途和与该票据相关的对冲交易。建议投资者考虑随附的招股说明书补充和招股说明书中详细列出的风险,包括信用风险、市场流动性和利率变动性。
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