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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 ·  12/14 03:16

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Citigroup Global Markets Holdings Inc. announces the offering of Callable Contingent Coupon Equity Linked Securities due November 25, 2026. The securities are linked to the worst-performing of the Nasdaq-100 Index®, Russell 2000® Index, and S&P 500® Index, offering potential periodic contingent coupon payments at an annualized rate of at least 8.30%.The securities carry significant risks, including potential loss of principal. Investors may receive no coupon payments if any underlying closes below its coupon barrier on a valuation date. At maturity, if not previously redeemed, investors may lose up to their entire investment if the worst-performing underlying closes below its final barrier value.Citigroup retains the right to redeem the securities on specified dates. The offering highlights the complex nature of structured products and the importance of understanding associated risks before investing. CGMI will act as underwriter and use proprietary pricing models to determine the estimated value of the securities.
Citigroup Global Markets Holdings Inc. announces the offering of Callable Contingent Coupon Equity Linked Securities due November 25, 2026. The securities are linked to the worst-performing of the Nasdaq-100 Index®, Russell 2000® Index, and S&P 500® Index, offering potential periodic contingent coupon payments at an annualized rate of at least 8.30%.The securities carry significant risks, including potential loss of principal. Investors may receive no coupon payments if any underlying closes below its coupon barrier on a valuation date. At maturity, if not previously redeemed, investors may lose up to their entire investment if the worst-performing underlying closes below its final barrier value.Citigroup retains the right to redeem the securities on specified dates. The offering highlights the complex nature of structured products and the importance of understanding associated risks before investing. CGMI will act as underwriter and use proprietary pricing models to determine the estimated value of the securities.
花旗集團全球市場控股公司宣佈提供可贖回的有條件息票股權聯動證券,到期日爲2026年11月25日。這些證券與納斯達克-100 指數®、羅素2000® 指數和S&P 500® 指數中表現最差的相關聯,提供潛在的定期有條件息票支付,年化收益率至少爲8.30%。這些證券帶來顯著風險,包括可能的本金損失。如果任何基礎資產在評估日的收盤價低於其息票門檻,投資者可能不會收到息票支付。在到期時,如果未被提前贖回,投資者可能會損失其全部投資,如果最差表現的基礎資產的收盤價低於其最終門檻值。花旗集團保留在指定日期贖回該證券的權利。本次發行突顯了結構化產品的複雜性質及在投資前了解相關風險的重要性。CGMI將作爲承銷商並使用專有定價模型判斷證券的估計價值。
花旗集團全球市場控股公司宣佈提供可贖回的有條件息票股權聯動證券,到期日爲2026年11月25日。這些證券與納斯達克-100 指數®、羅素2000® 指數和S&P 500® 指數中表現最差的相關聯,提供潛在的定期有條件息票支付,年化收益率至少爲8.30%。這些證券帶來顯著風險,包括可能的本金損失。如果任何基礎資產在評估日的收盤價低於其息票門檻,投資者可能不會收到息票支付。在到期時,如果未被提前贖回,投資者可能會損失其全部投資,如果最差表現的基礎資產的收盤價低於其最終門檻值。花旗集團保留在指定日期贖回該證券的權利。本次發行突顯了結構化產品的複雜性質及在投資前了解相關風險的重要性。CGMI將作爲承銷商並使用專有定價模型判斷證券的估計價值。
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