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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 ·  12/21 04:10

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Citigroup Global Markets Holdings Inc. is offering Autocallable Securities linked to the S&P 500 Futures 40% Edge Volatility 6% Decrement Index (USD) ER, due February 5, 2030. The securities do not pay interest and do not guarantee the repayment of principal at maturity.The securities offer potential automatic early redemption at a premium if the underlying index closes at or above its initial value on specified valuation dates. If not automatically redeemed, the payment at maturity will depend on the final underlying value. Investors could lose a significant portion or all of their investment if the final underlying value is below the final barrier value.The underlying index is highly risky, potentially reflecting leveraged exposure to declines in the S&P 500 Futures Excess Return Index. It also incorporates a 6% per annum decrement, which will significantly impact performance. Investors should carefully review the risk factors, including the potential for significant losses and underperformance compared to the S&P 500 Index.
Citigroup Global Markets Holdings Inc. is offering Autocallable Securities linked to the S&P 500 Futures 40% Edge Volatility 6% Decrement Index (USD) ER, due February 5, 2030. The securities do not pay interest and do not guarantee the repayment of principal at maturity.The securities offer potential automatic early redemption at a premium if the underlying index closes at or above its initial value on specified valuation dates. If not automatically redeemed, the payment at maturity will depend on the final underlying value. Investors could lose a significant portion or all of their investment if the final underlying value is below the final barrier value.The underlying index is highly risky, potentially reflecting leveraged exposure to declines in the S&P 500 Futures Excess Return Index. It also incorporates a 6% per annum decrement, which will significantly impact performance. Investors should carefully review the risk factors, including the potential for significant losses and underperformance compared to the S&P 500 Index.
花旗集团全球市场控股公司正在提供与标普500指数期货40%边际波动6%减少指数(美元指数)关联的可自动赎回证券,该证券将于2030年2月5日到期。这些证券不支付利息,并且不保证在到期时偿还本金。如果在指定估值日期,基础指数的收盘价在其初始价值上或以上,则这些证券提供潜在的自动提前赎回溢价。如果未被自动赎回,到期时的付款将取决于最终的基础价值。如果最终基础价值低于最终障碍值,投资者可能会损失相当大的一部分或全部投资。基础指数风险极高,可能反映了对标普500期货超额收益指数下跌的杠杆敞口。它还包含每年6%的减少,这将对表现产生显著影响。投资者应仔细审查风险因素,包括与标普500指数相比可能出现的重大损失和表现不佳的潜在性。
花旗集团全球市场控股公司正在提供与标普500指数期货40%边际波动6%减少指数(美元指数)关联的可自动赎回证券,该证券将于2030年2月5日到期。这些证券不支付利息,并且不保证在到期时偿还本金。如果在指定估值日期,基础指数的收盘价在其初始价值上或以上,则这些证券提供潜在的自动提前赎回溢价。如果未被自动赎回,到期时的付款将取决于最终的基础价值。如果最终基础价值低于最终障碍值,投资者可能会损失相当大的一部分或全部投资。基础指数风险极高,可能反映了对标普500期货超额收益指数下跌的杠杆敞口。它还包含每年6%的减少,这将对表现产生显著影响。投资者应仔细审查风险因素,包括与标普500指数相比可能出现的重大损失和表现不佳的潜在性。
声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息