CITIGROUP INC (C) Form 424B3 — Aug 5, 2026
Citigroup filed an amended and restated pricing supplement (Form 424B3) for Callable Contingent Coupon Equity Linked Securities due July 6, 2029, issued by Citigroup Global Markets Holdings Inc. and fully and unconditionally guaranteed by Citigroup Inc. The amendment revises the total issue price, total underwriting fee, and total proceeds to issuer for the offering. The securities have a $1,000 stated principal per security, producing a total issue price of $2,266,000.00, a total underwriting fee of $11,533.94, and total proceeds to issuer of $2,254,466.06.
Key figures
- Gross Proceeds
- $2,266,000.00 total issue price ($2,254,466.06 proceeds to issuer)
- Final barrier
- 65.00% of initial underlying value
- Maturity date
- July 6, 2029
- Coupon barrier
- 75.00% of initial underlying value
- Registration fee
- $15.19
- Total issue price
- $2,266,000.00
- Proceeds per security
- $990.00
- Contingent coupon rate
- 11.55% per annum (0.9625% of stated principal per period)
- Total underwriting fee
- $11,533.94
- Issue price per security
- $1,000.00
- Total proceeds to issuer
- $2,254,466.06
- Underlying initial values
- ["Nasdaq-100 Index: 28,274.20","Russell 2000 Index: 2,931.339","S&P 500 Index: 7,489.72"]
- Estimated value per security
- $979.50
- Stated principal per security
- $1,000.00
- Underwriting fee per security
- up to $10.00
- Platform provider fee per security
- up to $2.00
- Max aggregate offering price fee table
- $110,000
AI analysis
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