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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 ·  03:36
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Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has issued Medium-Term Senior Notes, Series N, which are unsecured debt securities linked to the performance of the Nasdaq-100 Index, the Russell 2000 Index, and the Utilities Select Sector SPDR Fund. These Callable Contingent Coupon Equity Linked Securities, filed under Rule 424(b)(2), offer potential for periodic contingent coupon payments with an annualized rate that could yield higher than conventional debt securities of the same maturity. However, investors face risks including the possibility of receiving no contingent coupon payments and receiving less than the principal amount at maturity, which is dependent on the performance of the worst-performing underlying index. The securities, priced on July 5, 2024, will mature on July 9, 2026, unless redeemed...Show More
Citigroup Global Markets Holdings Inc., a subsidiary of Citigroup Inc., has issued Medium-Term Senior Notes, Series N, which are unsecured debt securities linked to the performance of the Nasdaq-100 Index, the Russell 2000 Index, and the Utilities Select Sector SPDR Fund. These Callable Contingent Coupon Equity Linked Securities, filed under Rule 424(b)(2), offer potential for periodic contingent coupon payments with an annualized rate that could yield higher than conventional debt securities of the same maturity. However, investors face risks including the possibility of receiving no contingent coupon payments and receiving less than the principal amount at maturity, which is dependent on the performance of the worst-performing underlying index. The securities, priced on July 5, 2024, will mature on July 9, 2026, unless redeemed earlier. They are guaranteed by Citigroup Inc. and offer a contingent coupon rate of approximately 9.65% per annum if conditions are met. The securities will not be listed on any securities exchange, and all payments are subject to the credit risk of the issuer and guarantor. Citigroup Global Markets Inc., an affiliate acting as principal, is the underwriter for the offering.
花旗集團全球市場控股公司發佈了中期優先票據系列N,這些無擔保債務證券與納斯達克100指數、羅素2000指數和公用事業精選行業指數etf-spdr的表現相關聯。這些可調用的有條件票據股權債務證券(根據424(b)(2)條規定)具有潛在的週期性條件票息支付機制,其年化利率可能高於同期限的傳統債券。但投資者面臨風險,包括可能未收到有條件票息支付和到期未能收回本金的風險,這取決於表現最差的基礎指數。這些證券定價於2024年7月5日,將於2026年7月9日到期,除非提前贖回。它們由花旗集團擔保,並在滿足條件的情況下提供約9.65%的條件票息利率。這些證券將不會在任何證券交易所上市,並且所有支付均受發行人和擔保人的信用風險影響。作爲當事人的附屬公司花旗全球市場公司是這次發行的承銷商。
花旗集團全球市場控股公司發佈了中期優先票據系列N,這些無擔保債務證券與納斯達克100指數、羅素2000指數和公用事業精選行業指數etf-spdr的表現相關聯。這些可調用的有條件票據股權債務證券(根據424(b)(2)條規定)具有潛在的週期性條件票息支付機制,其年化利率可能高於同期限的傳統債券。但投資者面臨風險,包括可能未收到有條件票息支付和到期未能收回本金的風險,這取決於表現最差的基礎指數。這些證券定價於2024年7月5日,將於2026年7月9日到期,除非提前贖回。它們由花旗集團擔保,並在滿足條件的情況下提供約9.65%的條件票息利率。這些證券將不會在任何證券交易所上市,並且所有支付均受發行人和擔保人的信用風險影響。作爲當事人的附屬公司花旗全球市場公司是這次發行的承銷商。

譯文內容由第三人軟體翻譯。


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