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Citigroup | 424B2: Prospectus

Citigroup | 424B2: Prospectus

花旗集團 | 424B2:募資說明書
美股sec公告 ·  07/03 16:00
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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 Callable Contingent Coupon Equity Linked Securities. These securities are linked to the performance of the Energy Select Sector SPDR Fund, the Russell 2000 Index, and the S&P 500 Index, and are due on July 20, 2026. The offering, detailed in a preliminary pricing supplement filed with the SEC, is subject to completion and is not yet an offer to sell. The securities are unsecured debt obligations of Citigroup Global Markets Holdings Inc. and are guaranteed by Citigroup Inc. They offer potential for periodic contingent coupon payments that could yield higher than Citigroup's conventional debt securities of the same maturity...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 Callable Contingent Coupon Equity Linked Securities. These securities are linked to the performance of the Energy Select Sector SPDR Fund, the Russell 2000 Index, and the S&P 500 Index, and are due on July 20, 2026. The offering, detailed in a preliminary pricing supplement filed with the SEC, is subject to completion and is not yet an offer to sell. The securities are unsecured debt obligations of Citigroup Global Markets Holdings Inc. and are guaranteed by Citigroup Inc. They offer potential for periodic contingent coupon payments that could yield higher than Citigroup's conventional debt securities of the same maturity, but come with risks including the possibility of receiving no contingent coupon payments and receiving less than the principal amount at maturity. The securities are callable by Citigroup, meaning they can be redeemed before the maturity date. The pricing date is set for July 15, 2024, with an issue date of July 18, 2024. The securities will not be listed on any securities exchange, and all payments are subject to the credit risk of the issuer and guarantor. The underwriter for the offering is Citigroup Global Markets Inc., and the securities are expected to have an annualized contingent coupon rate of at least 9.90%, determined on the pricing date.
花旗集團全球市場控股有限公司宣佈發行中期優先票據N系列,可調換式條件付息權益聯接證券。這些證券與能源指數etf-spdr、羅素2000指數和標普500指數的表現相關,並於2026年7月20日到期。該發行交易由美國證券交易委員會提交的初步定價補充文件詳細說明,這不是出售的要約而是待完成。這些證券是花旗集團全球市場控股有限公司的無擔保債務,由花旗銀行擔保。它們提供了可能高於花旗銀行同期限常規債務證券的定期條件付息,但風險包括可能不獲得定期條件付息和在到期時獲得的本金金額少於原始面值。這些證券可以由花旗銀行贖回,意味着它們可以在到期日之前贖回。定價日確定爲2024年7月15日,發行日爲2024年7月18日。這些證券將不在任何證券交易所上市,所有支付均受發行人和保證人的信用風險影響。發行商是花旗全球市場股份有限公司,證券預計具有年化至少爲9.90%的條件付息費率,該費率將於定價日確定。
花旗集團全球市場控股有限公司宣佈發行中期優先票據N系列,可調換式條件付息權益聯接證券。這些證券與能源指數etf-spdr、羅素2000指數和標普500指數的表現相關,並於2026年7月20日到期。該發行交易由美國證券交易委員會提交的初步定價補充文件詳細說明,這不是出售的要約而是待完成。這些證券是花旗集團全球市場控股有限公司的無擔保債務,由花旗銀行擔保。它們提供了可能高於花旗銀行同期限常規債務證券的定期條件付息,但風險包括可能不獲得定期條件付息和在到期時獲得的本金金額少於原始面值。這些證券可以由花旗銀行贖回,意味着它們可以在到期日之前贖回。定價日確定爲2024年7月15日,發行日爲2024年7月18日。這些證券將不在任何證券交易所上市,所有支付均受發行人和保證人的信用風險影響。發行商是花旗全球市場股份有限公司,證券預計具有年化至少爲9.90%的條件付息費率,該費率將於定價日確定。
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