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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 ·  08/30 16:43
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Citigroup Global Markets Holdings Inc., with Citigroup Inc. as the guarantor, has announced the issuance of 3 Year Buffer Securities linked to the performance of the Dow Jones Industrial Average (INDU), the Russell 2000 Index (RTY), and the S&P 500 Index (SPX). The securities, with a pricing date set for September 30, 2024, and a maturity date of October 5, 2027, offer investors the potential for returns based on the worst-performing index among the three. The securities have an upside participation rate of 171% and a buffer percentage of 10%, protecting against a certain level of loss. However, if the worst-performing index's final value falls below its final buffer value, investors will incur a loss exceeding the buffer percentage. The securities do not pay interest...Show More
Citigroup Global Markets Holdings Inc., with Citigroup Inc. as the guarantor, has announced the issuance of 3 Year Buffer Securities linked to the performance of the Dow Jones Industrial Average (INDU), the Russell 2000 Index (RTY), and the S&P 500 Index (SPX). The securities, with a pricing date set for September 30, 2024, and a maturity date of October 5, 2027, offer investors the potential for returns based on the worst-performing index among the three. The securities have an upside participation rate of 171% and a buffer percentage of 10%, protecting against a certain level of loss. However, if the worst-performing index's final value falls below its final buffer value, investors will incur a loss exceeding the buffer percentage. The securities do not pay interest and are subject to the credit risk of both Citigroup entities. They will not be listed on any securities exchange, which may impact their liquidity. The preliminary pricing supplement was dated August 30, 2024, and the offering is subject to detailed terms and risk considerations outlined in the accompanying documents filed with the SEC.
花旗集團全球市場控股有限公司(由花旗集團擔保)宣佈發行了與道瓊斯工業指數(INDU)、羅素2000指數(RTY)和標準普爾500指數(SPX)的表現相關的3年期緩衝證券。該證券定價日期定爲2024年9月30日,到期日期爲2027年10月5日,爲投資者提供根據三個指數中表現最差的指數獲得回報的可能性。該證券的上漲參與率爲171%,緩衝百分比爲10%,可以防止一定程度的損失。然而,如果表現最差的指數的最終值低於最終緩衝值,投資者將承擔超過緩衝百分比的損失。該證券不支付利息,且受到花旗集團兩個實體的信用風險。他們將不在任何證券交易所上市,這可能影響他們的流動性。該初步定價補充文件日期爲2024年8月30日,並且這項交易受與SEC提交的附隨文件中概述的詳細條款和風險考慮的約束。
花旗集團全球市場控股有限公司(由花旗集團擔保)宣佈發行了與道瓊斯工業指數(INDU)、羅素2000指數(RTY)和標準普爾500指數(SPX)的表現相關的3年期緩衝證券。該證券定價日期定爲2024年9月30日,到期日期爲2027年10月5日,爲投資者提供根據三個指數中表現最差的指數獲得回報的可能性。該證券的上漲參與率爲171%,緩衝百分比爲10%,可以防止一定程度的損失。然而,如果表現最差的指數的最終值低於最終緩衝值,投資者將承擔超過緩衝百分比的損失。該證券不支付利息,且受到花旗集團兩個實體的信用風險。他們將不在任何證券交易所上市,這可能影響他們的流動性。該初步定價補充文件日期爲2024年8月30日,並且這項交易受與SEC提交的附隨文件中概述的詳細條款和風險考慮的約束。
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