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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 17:19
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Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, under a pricing supplement filed on April 25, 2024. These Callable Zero Coupon Notes are due on April 29, 2039, with Citigroup Inc. retaining the right to call the notes for mandatory redemption prior to maturity. The notes, which do not pay any interest, will be issued at a stated principal amount of $1,000 per note and will accrete in value at a yield of 9.25% per annum until maturity or redemption. The notes are unsecured senior debt obligations, subject to Citigroup Inc.'s credit risk. The issuer has the option to redeem the notes starting April 29, 2027, with the redemption amount being equal to the accreted value on the redemption date. The notes...Show More
Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, under a pricing supplement filed on April 25, 2024. These Callable Zero Coupon Notes are due on April 29, 2039, with Citigroup Inc. retaining the right to call the notes for mandatory redemption prior to maturity. The notes, which do not pay any interest, will be issued at a stated principal amount of $1,000 per note and will accrete in value at a yield of 9.25% per annum until maturity or redemption. The notes are unsecured senior debt obligations, subject to Citigroup Inc.'s credit risk. The issuer has the option to redeem the notes starting April 29, 2027, with the redemption amount being equal to the accreted value on the redemption date. The notes will not be listed on any securities exchange, and Citigroup Global Markets Inc. (CGMI), an affiliate of the issuer, will act as the underwriter. The issue price per note is $1,000, with an underwriting fee of $15.00 per note, resulting in net proceeds to the issuer of $985.00 per note. The offering includes a total issue of $10,697,000.00, with total underwriting fees amounting to $160,455.00 and total proceeds to the issuer of $10,536,545.00. Investors are advised to consider the risks detailed in the pricing supplement, including the absence of interest payments, potential early redemption, credit risk of Citigroup Inc., and the lack of a secondary market which may impact the ability to sell the notes prior to maturity.
花旗集团宣布根据2024年4月25日提交的定价补充文件发行G系列中期优先票据。这些可赎回的零息票据将于2039年4月29日到期,花旗集团保留在到期前强制赎回这些票据的权利。这些票据不支付任何利息,将按每张票据的规定本金1,000美元发行,在到期或赎回之前,其价值将以每年9.25%的收益率增长。这些票据是无抵押的优先债务,受花旗集团的约束。”s 信用风险。发行人可以选择从2027年4月29日开始赎回票据,赎回金额等于赎回日的累积价值。这些票据将不会在任何证券交易所上市,发行人的子公司花旗集团环球市场公司(CGMI)将担任承销商。每张票据的发行价格为1,000美元,每张票据的承保费为15.00美元...展开全部
花旗集团宣布根据2024年4月25日提交的定价补充文件发行G系列中期优先票据。这些可赎回的零息票据将于2039年4月29日到期,花旗集团保留在到期前强制赎回这些票据的权利。这些票据不支付任何利息,将按每张票据的规定本金1,000美元发行,在到期或赎回之前,其价值将以每年9.25%的收益率增长。这些票据是无抵押的优先债务,受花旗集团的约束。”s 信用风险。发行人可以选择从2027年4月29日开始赎回票据,赎回金额等于赎回日的累积价值。这些票据将不会在任何证券交易所上市,发行人的子公司花旗集团环球市场公司(CGMI)将担任承销商。每张票据的发行价格为1,000美元,每张票据的承保费为15.00美元,因此发行人每张票据的净收益为985.00美元。此次发行包括总额为10,697,000.00美元的发行,总承保费为160,455.00美元,向发行人提供的总收益为10,536,545.00美元。建议投资者考虑定价补充文件中详述的风险,包括不支付利息、可能提前赎回、花旗集团的信用风险以及缺乏可能影响到期前出售票据能力的二级市场。
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