Bond Citigroup Inc 0.816% ( XS2110093221 ) in EUR

Issuer Citigroup Inc
Market price refresh price now   100 %  ⇌ 
Country  United States
ISIN code  XS2110093221 ( in EUR )
Interest rate 0.816% per year ( payment 1 time a year)
Maturity 27/07/2033



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Minimal amount 100 000 EUR
Total amount 50 000 000 EUR
Next Coupon 28/07/2025 ( In 304 days )
Detailed description The Bond issued by Citigroup Inc ( United States ) , in EUR, with the ISIN code XS2110093221, pays a coupon of 0.816% per year.
The coupons are paid 1 time per year and the Bond maturity is 27/07/2033