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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 ·  05/11 04:02
牛牛AI助理已提取核心訊息
Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has announced the issuance of Medium-Term Senior Notes, Series N, which are unsecured senior debt securities guaranteed by Citigroup Inc. These notes are linked to the Citi Dynamic Asset Selector 5 Excess Return Index and offer periodic coupon payments with the potential for additional returns based on the index's performance from the initial to the final index level. The notes are set to mature on June 1, 2029, with a pricing date of May 29, 2024, and an issue date of June 3, 2024. The notes will pay a coupon of $2.00 per note, equivalent to a rate of 0.40% per annum, and will not be listed on any securities exchange. The notes are subject to credit risk and are not bank deposits, nor are they insured or guaranteed by any federal agency. The offering is subject to completion, with a preliminary pricing supplement filed with the SEC. The notes involve investment risks not associated with conventional debt securities.
Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has announced the issuance of Medium-Term Senior Notes, Series N, which are unsecured senior debt securities guaranteed by Citigroup Inc. These notes are linked to the Citi Dynamic Asset Selector 5 Excess Return Index and offer periodic coupon payments with the potential for additional returns based on the index's performance from the initial to the final index level. The notes are set to mature on June 1, 2029, with a pricing date of May 29, 2024, and an issue date of June 3, 2024. The notes will pay a coupon of $2.00 per note, equivalent to a rate of 0.40% per annum, and will not be listed on any securities exchange. The notes are subject to credit risk and are not bank deposits, nor are they insured or guaranteed by any federal agency. The offering is subject to completion, with a preliminary pricing supplement filed with the SEC. The notes involve investment risks not associated with conventional debt securities.
花旗集團的子公司花旗集團環球市場控股公司宣佈發行N系列中期優先票據,這是由花旗集團擔保的無抵押優先債務證券。這些票據與花旗動態資產選擇器5超額回報指數掛鉤,定期提供息票支付,有可能根據該指數從初始到最終指數水平的表現獲得額外回報。這些票據定於2029年6月1日到期,定價日期爲2024年5月29日,發行日期爲2024年6月3日。這些票據將支付每張票據2.00美元的息票,相當於每年0.40%的利率,並且不會在任何證券交易所上市。這些票據受信用風險影響,不是銀行存款,也沒有受到任何聯邦機構的保險或擔保。此次發行有待完成,初步定價補充文件已向美國證券交易委員會提交。這些票據涉及與常規債務證券無關的投資風險。
花旗集團的子公司花旗集團環球市場控股公司宣佈發行N系列中期優先票據,這是由花旗集團擔保的無抵押優先債務證券。這些票據與花旗動態資產選擇器5超額回報指數掛鉤,定期提供息票支付,有可能根據該指數從初始到最終指數水平的表現獲得額外回報。這些票據定於2029年6月1日到期,定價日期爲2024年5月29日,發行日期爲2024年6月3日。這些票據將支付每張票據2.00美元的息票,相當於每年0.40%的利率,並且不會在任何證券交易所上市。這些票據受信用風險影響,不是銀行存款,也沒有受到任何聯邦機構的保險或擔保。此次發行有待完成,初步定價補充文件已向美國證券交易委員會提交。這些票據涉及與常規債務證券無關的投資風險。

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