Citigroup Announces €1.0 Billion Redemption of 0.500% Fixed Rate Notes due 2022
Citigroup Inc. is announcing the redemption, in whole, constituting 1,000,000,000 of its 0.500% Fixed Rate Notes due 2022 (the notes) (ISIN: XS1939355753).
- Citigroup Inc. is announcing the redemption, in whole, constituting 1,000,000,000 of its 0.500% Fixed Rate Notes due 2022 (the notes) (ISIN: XS1939355753).
- The redemption date for the notes is December 29, 2021 (the redemption date).
- The cash redemption price payable for the notes on the redemption date will equal par plus accrued and unpaid interest.
- Beginning on the redemption date, the notes will no longer be outstanding and interest will no longer accrue on such securities.