CITIGROUP INC (C) Form 424B3 — Aug 26, 2026
Citigroup Global Markets Holdings Inc., with all payments fully and unconditionally guaranteed by Citigroup Inc., filed an amended and restated pricing supplement for Callable Contingent Coupon Equity Linked Securities due September 2, 2031, linked to the worst performing of the EURO STOXX 50, Russell 2000 and S&P 500 indices. The notes price at $1,000 per security and pay a contingent coupon of 2.50% per quarter, or 10.00% annualized, only if the worst performing index closes at or above 70% of its initial value on the prior valuation date; any missed date forfeits that quarter's coupon.
Key figures
- Maturity Date
- September 2, 2031
- Offering Price
- $1,000.00 per security (issue price)
- Isin
- US17334CRA44
- Cusip
- 17334CRA4
- Listed
- No
- Issue Date
- September 1, 2026
- Strike Date
- August 24, 2026
- Pricing Date
- August 25, 2026
- Final Barrier
- 50.00% of initial underlying value
- Coupon Barrier
- 70.00% of initial underlying value
- Callable By Issuer
- Yes
- Contingent Coupon Rate
- 10.00% per annum (2.50% of stated principal per quarter)
- Initial Underlying Values
- ["EURO STOXX 50: 6,447.98","Russell 2000: 2,995.080","S&P 500: 7,652.86"]
- Registration Statement Nos
- 333-293732 and 333-293732-02
- Estimated Value Per Security
- at least $928.50 (below issue price)
- Underwriting Fee Per Security
- $5.50
- Proceeds To Issuer Per Security
- $994.50
AI analysis
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