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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 ·  11/06 13:38

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Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has announced the issuance of Medium-Term Senior Notes, Series N, which are unsecured debt securities guaranteed by Citigroup Inc. The securities, linked to the performance of the Dow Jones Industrial Average, the Russell 2000 Index, and the S&P 500 Index, offer potential for periodic contingent coupon payments with a higher yield compared to conventional debt securities of the same maturity. However, they carry risks including the possibility of receiving no contingent coupon payments, receiving less than the principal amount at maturity, and being subject to the credit risk of both Citigroup Global Markets Holdings Inc. and Citigroup Inc. The securities are not bank deposits, are not FDIC insured, and are...Show More
Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has announced the issuance of Medium-Term Senior Notes, Series N, which are unsecured debt securities guaranteed by Citigroup Inc. The securities, linked to the performance of the Dow Jones Industrial Average, the Russell 2000 Index, and the S&P 500 Index, offer potential for periodic contingent coupon payments with a higher yield compared to conventional debt securities of the same maturity. However, they carry risks including the possibility of receiving no contingent coupon payments, receiving less than the principal amount at maturity, and being subject to the credit risk of both Citigroup Global Markets Holdings Inc. and Citigroup Inc. The securities are not bank deposits, are not FDIC insured, and are not listed on any securities exchange. The offering, subject to completion and dated November 6, 2024, has a pricing date of November 15, 2024, an issue date of November 20, 2024, and a maturity date of November 20, 2029. The securities may be automatically called for redemption prior to maturity, with the first potential autocall date on November 17, 2025. The underwriting fee is $35.00 per security, with CGMI acting as the underwriter. Investors are advised to read the accompanying product supplement, underlying supplement, prospectus supplement, and prospectus in conjunction with this pricing supplement before investing.
花旗集團全球市場控股有限公司,花旗集團的全資子公司,宣佈發行中期優先票據N系列,這些未擔保債務證券由花旗集團擔保。這些證券與道瓊斯指數、羅素2000指數和標普500指數的表現相關聯,提供週期性無固定票面利率的潛在可轉股票息支付,與相同期限的傳統債務證券相比,收益率更高。然而,它們存在風險,包括可能不會獲得任何可轉股票息支付、在到期時收到的金額少於本金金額以及受到花旗集團全球市場控股有限公司和花旗集團信用風險的影響。這些證券不是銀行存款,也不受FDIC保險保護,也未在任何證券交易所上市。這項發行計劃於2024年11月6日開始,定價日期爲2024年11月15日,發行日期爲2024年11月20日,到期日爲2029年11月20日。這些證券可能在到期前自動贖回,首個潛在自動贖回日期爲2025年11月17日。承銷費爲每份35.00美元,CGMI擔任承銷商。建議投資者在投資之前閱讀附帶的產品補充、基礎補充、招股說明書補充以及招股說明書與本定價說明書一同閱讀。
花旗集團全球市場控股有限公司,花旗集團的全資子公司,宣佈發行中期優先票據N系列,這些未擔保債務證券由花旗集團擔保。這些證券與道瓊斯指數、羅素2000指數和標普500指數的表現相關聯,提供週期性無固定票面利率的潛在可轉股票息支付,與相同期限的傳統債務證券相比,收益率更高。然而,它們存在風險,包括可能不會獲得任何可轉股票息支付、在到期時收到的金額少於本金金額以及受到花旗集團全球市場控股有限公司和花旗集團信用風險的影響。這些證券不是銀行存款,也不受FDIC保險保護,也未在任何證券交易所上市。這項發行計劃於2024年11月6日開始,定價日期爲2024年11月15日,發行日期爲2024年11月20日,到期日爲2029年11月20日。這些證券可能在到期前自動贖回,首個潛在自動贖回日期爲2025年11月17日。承銷費爲每份35.00美元,CGMI擔任承銷商。建議投資者在投資之前閱讀附帶的產品補充、基礎補充、招股說明書補充以及招股說明書與本定價說明書一同閱讀。
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