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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

花旗集團 | FWP:自由書寫募資說明書
美股sec公告 ·  07/26 17:29
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Citigroup Inc. has announced the preliminary terms of a new securities offering by its subsidiary, Citigroup Global Markets Holdings Inc., with Citigroup Inc. acting as the guarantor. The offering involves 5-year Autocallable Nasdaq Generations 5 Index Securities, which are set to have multiple valuation dates starting from August 27, 2025, through to the final valuation date on August 27, 2029. The securities will be automatically redeemed if the index level is equal to or greater than the initial index level on any valuation date, with investors receiving $1,000 plus an applicable premium ranging from 8.00% to 9.00% per annum. The securities are designed to provide a return based on the performance of a hypothetical investment portfolio tracked by the Nasdaq Generations 5 Index, which includes equity and fixed income...Show More
Citigroup Inc. has announced the preliminary terms of a new securities offering by its subsidiary, Citigroup Global Markets Holdings Inc., with Citigroup Inc. acting as the guarantor. The offering involves 5-year Autocallable Nasdaq Generations 5 Index Securities, which are set to have multiple valuation dates starting from August 27, 2025, through to the final valuation date on August 27, 2029. The securities will be automatically redeemed if the index level is equal to or greater than the initial index level on any valuation date, with investors receiving $1,000 plus an applicable premium ranging from 8.00% to 9.00% per annum. The securities are designed to provide a return based on the performance of a hypothetical investment portfolio tracked by the Nasdaq Generations 5 Index, which includes equity and fixed income allocations, as well as uninvested cash, with the goal of maintaining an overall volatility of 5%. The securities do not pay interest and their term may be as short as one year. They are subject to the credit risk of Citigroup Global Markets Holdings Inc. and Citigroup Inc., and their value will fluctuate based on various factors. The offering is detailed in a preliminary pricing supplement dated July 26, 2024, and the securities will not be listed on any securities exchange, which may impact their liquidity prior to maturity.
花旗集團宣佈其子公司花旗環球市場控股公司開展新證券發行的初步條款,花旗集團擔任擔保人。該發行涉及五年期Autocallable納斯達克第五代指數證券,從2025年8月27日開始設置多個計價日期,直至2029年8月27日的最終估值日。如果指數水平與任何計價日的初始指數水平相等或大於,則證券將自動贖回,投資者將獲得1000美元加上適用的年利率在8.00%至9.00%之間的溢價。證券旨在根據納斯達克第五代指數跟蹤的假設投資組合表現提供回報,該指數包括股權和固收分配以及未投資現金,旨在維持整體波動率爲5%。證券不支付利息,其期限最短可爲一年。它們受到花旗環球市場控股公司和花旗集團的信用風險影響,其價值將根據各種因素波動。該發行行情細節在於2024年7月26日的初步定價補充文件中詳細描述,證券將不會在任何證券交易所上市,這可能會影響它們的流動性到到期前。
花旗集團宣佈其子公司花旗環球市場控股公司開展新證券發行的初步條款,花旗集團擔任擔保人。該發行涉及五年期Autocallable納斯達克第五代指數證券,從2025年8月27日開始設置多個計價日期,直至2029年8月27日的最終估值日。如果指數水平與任何計價日的初始指數水平相等或大於,則證券將自動贖回,投資者將獲得1000美元加上適用的年利率在8.00%至9.00%之間的溢價。證券旨在根據納斯達克第五代指數跟蹤的假設投資組合表現提供回報,該指數包括股權和固收分配以及未投資現金,旨在維持整體波動率爲5%。證券不支付利息,其期限最短可爲一年。它們受到花旗環球市場控股公司和花旗集團的信用風險影響,其價值將根據各種因素波動。該發行行情細節在於2024年7月26日的初步定價補充文件中詳細描述,證券將不會在任何證券交易所上市,這可能會影響它們的流動性到到期前。
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