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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 ·  11/08 23:15

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Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, due on November 29, 2032, with a fixed interest rate of 5.05% per annum. The notes, which are unsecured senior debt obligations, will be callable starting May 29, 2026, allowing Citigroup to redeem the notes periodically before maturity. The pricing date is set for November 25, 2024, with an original issue date of November 29, 2024. The notes are priced at $1,000 each, with the potential for the issue price to vary for certain institutional investors. Citigroup Global Markets Inc., an affiliate of Citigroup, will act as the underwriter and may receive an underwriting fee of up to $17.00 per note. The notes will not be listed on any securities exchange, and the offering includes a provision for Citigroup's wholly owned subsidiaries to assume obligations under the notes, subject to certain conditions. Investors are advised to consider the risks detailed in the accompanying prospectus supplement and prospectus, including credit risk and market interest rates affecting the likelihood of redemption before maturity.
Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, due on November 29, 2032, with a fixed interest rate of 5.05% per annum. The notes, which are unsecured senior debt obligations, will be callable starting May 29, 2026, allowing Citigroup to redeem the notes periodically before maturity. The pricing date is set for November 25, 2024, with an original issue date of November 29, 2024. The notes are priced at $1,000 each, with the potential for the issue price to vary for certain institutional investors. Citigroup Global Markets Inc., an affiliate of Citigroup, will act as the underwriter and may receive an underwriting fee of up to $17.00 per note. The notes will not be listed on any securities exchange, and the offering includes a provision for Citigroup's wholly owned subsidiaries to assume obligations under the notes, subject to certain conditions. Investors are advised to consider the risks detailed in the accompanying prospectus supplement and prospectus, including credit risk and market interest rates affecting the likelihood of redemption before maturity.
花旗集團宣佈發行截止至2032年11月29日的中期優先票據G系列,固定利率爲每年5.05%。這些未擔保的高級債務義務將自2026年5月29日起可贖回,允許花旗集團在到期前定期贖回票據。定價日期爲2024年11月25日,原始發行日爲2024年11月29日。每張票據售價爲$1,000,針對某些機構投資者,發行價格可能有所不同。花旗全球貨幣營銷公司,花旗的關聯公司,將擔任承銷商,並可能獲得每張票據高達$17.00的承銷費。這些票據將不會在任何證券交易所上市,該發行還包括一個條款,允許花旗的全資子公司在特定條件下承擔票據下的義務。投資者應考慮《附屬招股說明書》和招股說明書中詳細說明的風險,包括信用風險和市場利率影響到期前贖回的可能性。
花旗集團宣佈發行截止至2032年11月29日的中期優先票據G系列,固定利率爲每年5.05%。這些未擔保的高級債務義務將自2026年5月29日起可贖回,允許花旗集團在到期前定期贖回票據。定價日期爲2024年11月25日,原始發行日爲2024年11月29日。每張票據售價爲$1,000,針對某些機構投資者,發行價格可能有所不同。花旗全球貨幣營銷公司,花旗的關聯公司,將擔任承銷商,並可能獲得每張票據高達$17.00的承銷費。這些票據將不會在任何證券交易所上市,該發行還包括一個條款,允許花旗的全資子公司在特定條件下承擔票據下的義務。投資者應考慮《附屬招股說明書》和招股說明書中詳細說明的風險,包括信用風險和市場利率影響到期前贖回的可能性。

譯文內容由第三人軟體翻譯。


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