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Citigroup | 424B3: Prospectus

Citigroup | 424B3: Prospectus

花旗集團 | 424B3:募資說明書
美股SEC公告 ·  12/13 13:01

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Citigroup Global Markets Holdings Inc. has announced the offering of Buffer Securities linked to an unequally weighted basket of five global equity indices, due November 7, 2025. The securities provide modified exposure to the basket's performance, with a 150% upside participation rate capped at a 10.90% maximum return, and a 10% buffer against downside risk.The basket comprises the EURO STOXX 50® Index (38% weight), TOPIX® Index (26%), FTSE® 100 Index (17%), Swiss Market Index® (11%), and S&P/ASX 200 Index (8%). These securities do not pay interest and may result in a loss of principal if the basket depreciates by more than 10% at maturity.The offering highlights Citigroup's strategy to provide investors with structured products offering potential upside linked to global equity markets while providing partial downside protection. Investors should note the credit risk associated with Citigroup and carefully consider the product's features, risks, and suitability for their investment portfolio.
Citigroup Global Markets Holdings Inc. has announced the offering of Buffer Securities linked to an unequally weighted basket of five global equity indices, due November 7, 2025. The securities provide modified exposure to the basket's performance, with a 150% upside participation rate capped at a 10.90% maximum return, and a 10% buffer against downside risk.The basket comprises the EURO STOXX 50® Index (38% weight), TOPIX® Index (26%), FTSE® 100 Index (17%), Swiss Market Index® (11%), and S&P/ASX 200 Index (8%). These securities do not pay interest and may result in a loss of principal if the basket depreciates by more than 10% at maturity.The offering highlights Citigroup's strategy to provide investors with structured products offering potential upside linked to global equity markets while providing partial downside protection. Investors should note the credit risk associated with Citigroup and carefully consider the product's features, risks, and suitability for their investment portfolio.
花旗集團全球市場控股公司宣佈推出與五個全球股票指數的非均等加權籃子相關的緩衝證券,到期日爲2025年11月7日。這些證券提供對籃子表現的修正暴露,具有150%的上行參與率,最大回報上限爲10.90%,並提供10%的下行風險緩衝。該籃子包括:歐元區STOXX 50® 指數(38% 權重)、TOPIX® 指數(26%)、富時100指數(17%)、瑞士市場指數®(11%)和S&P/ASX 200指數(8%)。這些證券不支付利息,若到期時籃子貶值超過10%,可能導致本金損失。此次發行突顯了花旗集團提供結構化產品的策略,這些產品爲投資者提供與全球股票市場相關的潛在上行,同時提供部分下行保護。投資者應注意與花旗集團相關的信用風險,並仔細考慮該產品的特徵、風險和是否適合他們的投資組合。
花旗集團全球市場控股公司宣佈推出與五個全球股票指數的非均等加權籃子相關的緩衝證券,到期日爲2025年11月7日。這些證券提供對籃子表現的修正暴露,具有150%的上行參與率,最大回報上限爲10.90%,並提供10%的下行風險緩衝。該籃子包括:歐元區STOXX 50® 指數(38% 權重)、TOPIX® 指數(26%)、富時100指數(17%)、瑞士市場指數®(11%)和S&P/ASX 200指數(8%)。這些證券不支付利息,若到期時籃子貶值超過10%,可能導致本金損失。此次發行突顯了花旗集團提供結構化產品的策略,這些產品爲投資者提供與全球股票市場相關的潛在上行,同時提供部分下行保護。投資者應注意與花旗集團相關的信用風險,並仔細考慮該產品的特徵、風險和是否適合他們的投資組合。
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