CITIGROUP INC (C) Form 424B3 — Sep 18, 2026
Citigroup Inc. filed an amended and restated pricing supplement for $6,729,000 of Callable Fixed Rate Notes due September 17, 2036 under its Medium-Term Senior Notes, Series G program. The notes pay a fixed 5.725% annual coupon semi-annually starting March 17, 2027 and are unsecured senior debt obligations subject to Citigroup's credit risk. The amendment solely revises the offering economics: the total underwriting fee is now $80,932.50 and total proceeds to issuer are now $6,648,067.50.
Key figures
- Debt Amount
- 6729000
- Interest Rate
- 5.725%
- Maturity Date
- September 17, 2036
- Call terms
- 100% of principal plus accrued interest, in whole not in part, on quarterly redemption dates
- Notes offered
- 6729
- Tlac eligible
- Yes
- First call date
- March 17, 2028
- Coupon frequency
- semi-annual, commencing March 17, 2027
- Issue price per note
- 1000
- Registration statement
- 333-293732
- Stated principal per note
- 1000
- Underwriting fee per note
- 15
AI analysis
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