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Citigroup | 424B2: Prospectus

Citigroup | 424B2: Prospectus

花旗集团 | 424B2:募资说明书
美股sec公告 ·  04/26 15:20
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Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, under the pricing supplement no. 2024-CMTNG1467, with a maturity date of April 29, 2039. The notes, which are unsecured senior debt obligations, have a fixed annual interest rate of 6.05% and are callable, meaning Citigroup has the right to redeem the notes before maturity on specified redemption dates. The pricing date is set for April 25, 2024, with an original issue date of April 29, 2024. The notes will be issued at $1,000 each, with Citigroup's right to call the notes for mandatory redemption beginning on October 29, 2026. Interest will be paid semi-annually, and the notes are not secured by any collateral. Citigroup Global Markets Inc., an affiliate of the issuer, will act as the...Show More
Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, under the pricing supplement no. 2024-CMTNG1467, with a maturity date of April 29, 2039. The notes, which are unsecured senior debt obligations, have a fixed annual interest rate of 6.05% and are callable, meaning Citigroup has the right to redeem the notes before maturity on specified redemption dates. The pricing date is set for April 25, 2024, with an original issue date of April 29, 2024. The notes will be issued at $1,000 each, with Citigroup's right to call the notes for mandatory redemption beginning on October 29, 2026. Interest will be paid semi-annually, and the notes are not secured by any collateral. Citigroup Global Markets Inc., an affiliate of the issuer, will act as the underwriter. The notes will not be listed on any securities exchange, and the offering includes an underwriting fee of $20.00 per note, resulting in net proceeds to Citigroup of $980.00 per note. The total proceeds to the issuer, before expenses, are estimated to be $12,010,150.00. The notes are subject to Citigroup's credit risk, and their value may be affected by market interest rates, the creditworthiness of Citigroup, and other factors. The notes are not bank deposits and are not insured or guaranteed by any governmental agency.
花旗集团宣布发行G系列中期优先票据,定价补充文件编号:2024-CMTNG1467,到期日为2039年4月29日。这些票据是无抵押优先债务,固定年利率为6.05%,可赎回,这意味着花旗集团有权在指定的赎回日期到期前赎回票据。定价日期定为2024年4月25日,原定发行日期为2024年4月29日。这些票据将以每张1,000美元的价格发行,花旗集团有权从2026年10月29日开始强制赎回这些票据。利息将每半年支付一次,票据不受任何抵押品的担保。发行人的子公司花旗集团环球市场公司将担任承销商。这些票据不会在任何证券交易所上市,此次发行包括每张票据20.00美元的承保费,因此花旗集团每张票据的净收益为980.00美元。不计开支,发行人的总收益估计为12,010,150.00美元。这些票据受花旗集团的信用风险影响,其价值可能会受到市场利率、花旗集团信誉和其他因素的影响。这些票据不是银行存款,也没有受到任何政府机构的保险或担保。
花旗集团宣布发行G系列中期优先票据,定价补充文件编号:2024-CMTNG1467,到期日为2039年4月29日。这些票据是无抵押优先债务,固定年利率为6.05%,可赎回,这意味着花旗集团有权在指定的赎回日期到期前赎回票据。定价日期定为2024年4月25日,原定发行日期为2024年4月29日。这些票据将以每张1,000美元的价格发行,花旗集团有权从2026年10月29日开始强制赎回这些票据。利息将每半年支付一次,票据不受任何抵押品的担保。发行人的子公司花旗集团环球市场公司将担任承销商。这些票据不会在任何证券交易所上市,此次发行包括每张票据20.00美元的承保费,因此花旗集团每张票据的净收益为980.00美元。不计开支,发行人的总收益估计为12,010,150.00美元。这些票据受花旗集团的信用风险影响,其价值可能会受到市场利率、花旗集团信誉和其他因素的影响。这些票据不是银行存款,也没有受到任何政府机构的保险或担保。
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