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Citigroup | 8-K: Current report

Citigroup | 8-K: Current report

花旗集團 | 8-K:重大事件
美股SEC公告 ·  09/20 05:20

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Citigroup Inc. has filed a Current Report on Form 8-K with the United States Securities and Exchange Commission on September 19, 2024. The report details the completion of two terms agreements dated September 12, 2024, for the offer and sale of two sets of notes. The first set comprises the company's 4.542% Fixed Rate / Floating Rate Callable Senior Notes due September 19, 2030, and the second set consists of 5.411% Fixed Rate Reset Callable Subordinated Notes due September 19, 2039. The agreements were made with underwriters named within the documents. Additionally, the report includes the forms of the notes and the opinion of Karen Wang, Esq. Citigroup's securities registered pursuant to Section 12(b) of the Securities Exchange Act of 1934 as of the filing date are also listed in the report.
Citigroup Inc. has filed a Current Report on Form 8-K with the United States Securities and Exchange Commission on September 19, 2024. The report details the completion of two terms agreements dated September 12, 2024, for the offer and sale of two sets of notes. The first set comprises the company's 4.542% Fixed Rate / Floating Rate Callable Senior Notes due September 19, 2030, and the second set consists of 5.411% Fixed Rate Reset Callable Subordinated Notes due September 19, 2039. The agreements were made with underwriters named within the documents. Additionally, the report includes the forms of the notes and the opinion of Karen Wang, Esq. Citigroup's securities registered pursuant to Section 12(b) of the Securities Exchange Act of 1934 as of the filing date are also listed in the report.
花旗集團股份有限公司於2024年9月19日向美國證券交易委員會提交了8-K表格的一份現行報告。報告詳細介紹了兩項協議的完成日期分別爲2024年9月12日,用於發行和銷售兩套票據。第一套包括公司的4.542%固定利率/浮動利率可調高級票據,到期日爲2030年9月19日;第二套包括5.411%固定利率複覈可調次級票據,到期日爲2039年9月19日。協議是與文件中提及的承銷商達成的。此外,報告還包括票據的形式和Karen Wang女士的意見。根據1934年證券交易法第12(b)條款在提交日期註冊的花旗集團證券也在報告中列出。
花旗集團股份有限公司於2024年9月19日向美國證券交易委員會提交了8-K表格的一份現行報告。報告詳細介紹了兩項協議的完成日期分別爲2024年9月12日,用於發行和銷售兩套票據。第一套包括公司的4.542%固定利率/浮動利率可調高級票據,到期日爲2030年9月19日;第二套包括5.411%固定利率複覈可調次級票據,到期日爲2039年9月19日。協議是與文件中提及的承銷商達成的。此外,報告還包括票據的形式和Karen Wang女士的意見。根據1934年證券交易法第12(b)條款在提交日期註冊的花旗集團證券也在報告中列出。

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