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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 ·  2024/12/20 16:00

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Citigroup Global Markets Holdings Inc. is offering Autocallable Securities linked to the S&P 500 Futures 40% Edge Volatility 6% Decrement Index (USD) ER, due January 31, 2030. The securities do not pay interest and do not guarantee principal repayment at maturity.The securities offer potential automatic early redemption at a premium if the underlying index closes at or above its initial value on specified valuation dates. If not redeemed early, payment at maturity depends on the final index value. Investors face 1:1 downside exposure if the final index value is below the barrier level.The underlying index tracks S&P 500 futures with 40% volatility targeting and a 6% annual decrement. It may significantly underperform the S&P 500 due to leverage, financing costs, and the decrement. The estimated value of the securities on the pricing date will be less than the issue price. CGMI will receive an underwriting fee and may profit from expected hedging activity.
Citigroup Global Markets Holdings Inc. is offering Autocallable Securities linked to the S&P 500 Futures 40% Edge Volatility 6% Decrement Index (USD) ER, due January 31, 2030. The securities do not pay interest and do not guarantee principal repayment at maturity.The securities offer potential automatic early redemption at a premium if the underlying index closes at or above its initial value on specified valuation dates. If not redeemed early, payment at maturity depends on the final index value. Investors face 1:1 downside exposure if the final index value is below the barrier level.The underlying index tracks S&P 500 futures with 40% volatility targeting and a 6% annual decrement. It may significantly underperform the S&P 500 due to leverage, financing costs, and the decrement. The estimated value of the securities on the pricing date will be less than the issue price. CGMI will receive an underwriting fee and may profit from expected hedging activity.
花旗集團全球市場控股公司正在提供與S&P 500期貨40%邊際波動性6%減計指數(美元指數)ER相關的自動回購證券,計劃於2030年1月31日到期。這些證券不支付利息,也不保證到期時本金的償還。這些證券提供潛在的自動提前贖回機會,如果相關指數在特定估值日的收盤價等於或高於其初始值,將以溢價進行贖回。如果未提前贖回,償還金額將在到期時取決於最終指數值。如果最終指數值低於障礙水平,投資者將面臨1:1的下行風險。相關指數跟蹤S&P 500期貨,其波動性目標爲40%,年減計爲6%。由於槓桿、融資成本和減計,可能顯著不及S&P 500的表現。證券在定價日的估計價值將低於發行價。CGMI將收取承銷費,並可能從預期的對沖活動中獲利。
花旗集團全球市場控股公司正在提供與S&P 500期貨40%邊際波動性6%減計指數(美元指數)ER相關的自動回購證券,計劃於2030年1月31日到期。這些證券不支付利息,也不保證到期時本金的償還。這些證券提供潛在的自動提前贖回機會,如果相關指數在特定估值日的收盤價等於或高於其初始值,將以溢價進行贖回。如果未提前贖回,償還金額將在到期時取決於最終指數值。如果最終指數值低於障礙水平,投資者將面臨1:1的下行風險。相關指數跟蹤S&P 500期貨,其波動性目標爲40%,年減計爲6%。由於槓桿、融資成本和減計,可能顯著不及S&P 500的表現。證券在定價日的估計價值將低於發行價。CGMI將收取承銷費,並可能從預期的對沖活動中獲利。
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