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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 ·  06/27 05:34
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 autocallable securities linked to the performance of the Russell 2000 Index and the S&P 500 Index, with a maturity date of July 24, 2028. These unsecured debt securities do not pay interest, do not guarantee principal repayment at maturity, and are subject to potential automatic early redemption based on the performance of the worst performing index. The securities offer the potential for automatic early redemption at a premium if the worst performing underlying index on any valuation date, other than the final valuation date, is greater than or equal to its initial value. If not automatically redeemed, the securities will...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 autocallable securities linked to the performance of the Russell 2000 Index and the S&P 500 Index, with a maturity date of July 24, 2028. These unsecured debt securities do not pay interest, do not guarantee principal repayment at maturity, and are subject to potential automatic early redemption based on the performance of the worst performing index. The securities offer the potential for automatic early redemption at a premium if the worst performing underlying index on any valuation date, other than the final valuation date, is greater than or equal to its initial value. If not automatically redeemed, the securities will either repay the principal amount plus a premium at maturity, repay the principal amount with no premium, or result in a loss of principal if the worst performing index's final value is below its final barrier value. The securities are subject to the credit risk of both Citigroup Global Markets Holdings Inc. and Citigroup Inc. The offering is scheduled with a pricing date of July 19, 2024, and an issue date of July 24, 2024. The securities are not bank deposits, are not FDIC insured, and involve investment risks including the potential loss of the principal amount invested.
花旗集團的子公司花旗環球市場控股公司宣佈發行中期優先票據系列N,這些票據是自動贖回證券,與羅素2000指數和標普500指數的表現掛鉤,到期日爲2028年7月24日。這些無抵押債務證券不支付利息,不保證到期時償還本金,若出現最差表現指數表現不佳的風險,可能會被提前自動贖回。這些證券在任何計價日,即期末計價日之前,最差表現的基礎指數大於或等於其初始值,就有可能以溢價自動提前贖回。若未被自動贖回,這些證券將在到期日或償還本金加溢價,或只償還本金,或導致本金虧損,若最差表現指數的最終值低於其最終界限值。這些證券承擔花旗環球市場控股公司和花旗銀行的信用風險。發行計劃的定價日爲2024年7月19日,發行日爲2024年7月24日。這些證券不是銀行存款,不受FDIC保險保護,涉及投資風險,包括可能損失投資本金。
花旗集團的子公司花旗環球市場控股公司宣佈發行中期優先票據系列N,這些票據是自動贖回證券,與羅素2000指數和標普500指數的表現掛鉤,到期日爲2028年7月24日。這些無抵押債務證券不支付利息,不保證到期時償還本金,若出現最差表現指數表現不佳的風險,可能會被提前自動贖回。這些證券在任何計價日,即期末計價日之前,最差表現的基礎指數大於或等於其初始值,就有可能以溢價自動提前贖回。若未被自動贖回,這些證券將在到期日或償還本金加溢價,或只償還本金,或導致本金虧損,若最差表現指數的最終值低於其最終界限值。這些證券承擔花旗環球市場控股公司和花旗銀行的信用風險。發行計劃的定價日爲2024年7月19日,發行日爲2024年7月24日。這些證券不是銀行存款,不受FDIC保險保護,涉及投資風險,包括可能損失投資本金。

譯文內容由第三人軟體翻譯。


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