CITIGROUP INC (C) Form 424B3 — Aug 24, 2026
Citigroup filed an amended and restated pricing supplement (Form 424B3, Registration Nos. 333-293732 and 333-293732-02) covering $5,106,000 of Callable Contingent Coupon Equity Linked Securities due August 25, 2031, issued by Citigroup Global Markets Holdings Inc. and fully and unconditionally guaranteed by Citigroup Inc. The amendment was filed solely to revise the total issue price, total underwriting fee and total proceeds to issuer.
Key figures
- Debt Amount
- 5106000
- Interest Rate
- 9.70% per annum contingent coupon (2.425% of stated principal per quarter), paid only if the worst performing underlying closes at or above its coupon barrier
- Maturity Date
- August 25, 2031
- Gross Proceeds
- 5106000
- Offering Price
- 1000
- Isin
- US17334CME11
- Cusip
- 17334CME1
- Securities Issued
- 5106
- Final Barrier Percent
- 60.00% of initial underlying value
- Coupon Barrier Percent
- 70.00% of initial underlying value
- Underwriting Fee Total
- $40,848.00 ($8.00 per security)
- Proceeds To Issuer Total
- $5,065,152.00
- Estimated Value Per Security
- $987.20, below the $1,000.00 issue price
- Platform Provider Fee Per Security
- up to $2.00
AI analysis
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