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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 ·  07/26 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.
花旗集團全球市場控股公司發佈中期票據N系列的定價補充協議,截至2026年1月29日到期。這些未擔保的債務證券與納斯達克100指數、羅素2000指數和標普500指數的表現掛鉤,可提供約9.20%的年化分期利息率。這些利息是根據其中最差表現的一個指數而定的,不保證支付。每張面值爲1000美元的債券於2024年7月24日定價,於2024年7月29日發行。花旗集團公司完全且無條件擔保該債券所有應付款項。這些債券不會在任何證券交易所上市,投資者必須願意承擔風險,包括有限的流動性和可能無法獲得支付的風險,如果花旗和花旗集團公司違約。這些債券可能在規定的日期被強制贖回,到期時收到的價值可能會顯著低於本金,甚至可能爲零,這取決於指定指數的表現。
花旗集團全球市場控股公司發佈中期票據N系列的定價補充協議,截至2026年1月29日到期。這些未擔保的債務證券與納斯達克100指數、羅素2000指數和標普500指數的表現掛鉤,可提供約9.20%的年化分期利息率。這些利息是根據其中最差表現的一個指數而定的,不保證支付。每張面值爲1000美元的債券於2024年7月24日定價,於2024年7月29日發行。花旗集團公司完全且無條件擔保該債券所有應付款項。這些債券不會在任何證券交易所上市,投資者必須願意承擔風險,包括有限的流動性和可能無法獲得支付的風險,如果花旗和花旗集團公司違約。這些債券可能在規定的日期被強制贖回,到期時收到的價值可能會顯著低於本金,甚至可能爲零,這取決於指定指數的表現。
声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息