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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 16:58

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Citigroup Global Markets Holdings Inc., guaranteed by Citigroup Inc., has issued unsecured debt securities linked to the performance of two baskets of ETFs, with a maturity date of November 9, 2027. The securities, which do not pay interest and do not guarantee a fixed principal repayment, offer a payment at maturity that varies based on the performance of the better-performing basket. The securities are linked to Basket A, comprising six ETFs, and Basket B, comprising seven ETFs, with different weightings and components. The securities were priced on November 4, 2024, and issued on November 7, 2024. The payment at maturity is subject to a maximum return of 31.00% per security, and all payments depend on Citigroup's credit risk. The securities are not listed on any...Show More
Citigroup Global Markets Holdings Inc., guaranteed by Citigroup Inc., has issued unsecured debt securities linked to the performance of two baskets of ETFs, with a maturity date of November 9, 2027. The securities, which do not pay interest and do not guarantee a fixed principal repayment, offer a payment at maturity that varies based on the performance of the better-performing basket. The securities are linked to Basket A, comprising six ETFs, and Basket B, comprising seven ETFs, with different weightings and components. The securities were priced on November 4, 2024, and issued on November 7, 2024. The payment at maturity is subject to a maximum return of 31.00% per security, and all payments depend on Citigroup's credit risk. The securities are not listed on any exchange, and the underwriter, Citigroup Global Markets Inc. (CGMI), received an underwriting fee for each security sold. The estimated value of the securities on the pricing date was $960.30 per security, which is less than the issue price. The securities are considered contingent payment debt instruments for U.S. federal income tax purposes.
花旗集團全球市場控股有限公司,由花旗銀行有限公司擔保,發行了與兩個etf籃子表現掛鉤的無擔保債務證券,到期日爲2027年11月9日。這些證券不支付利息,也不保證固定本金償還,提供的到期支付根據表現較好的籃子的表現而變化。證券與包含六個etf的A籃子和包含七個etf的B籃子掛鉤,具有不同的權重和元件。這些證券定價於2024年11月4日,並於2024年11月7日發行。到期付款最高不超過每個證券的31.00%,所有付款都取決於花旗銀行的信用風險。這些證券未在任何交易所上市,主承銷商花旗全球市場公司(CGMI)收取每筆已售證券的承銷費。定價日證券的估計價值爲每份960.30美元,低於發行價。這些證券被視爲美國聯邦所得稅目的的有條件付款債務工具。
花旗集團全球市場控股有限公司,由花旗銀行有限公司擔保,發行了與兩個etf籃子表現掛鉤的無擔保債務證券,到期日爲2027年11月9日。這些證券不支付利息,也不保證固定本金償還,提供的到期支付根據表現較好的籃子的表現而變化。證券與包含六個etf的A籃子和包含七個etf的B籃子掛鉤,具有不同的權重和元件。這些證券定價於2024年11月4日,並於2024年11月7日發行。到期付款最高不超過每個證券的31.00%,所有付款都取決於花旗銀行的信用風險。這些證券未在任何交易所上市,主承銷商花旗全球市場公司(CGMI)收取每筆已售證券的承銷費。定價日證券的估計價值爲每份960.30美元,低於發行價。這些證券被視爲美國聯邦所得稅目的的有條件付款債務工具。
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