Obligation CITIGROUP INC 6.8% ( XS0372391945 ) en GBP

Société émettrice CITIGROUP INC
Prix sur le marché refresh price now   100 %  ▼ 
Pays  Etats-unis
Code ISIN  XS0372391945 ( en GBP )
Coupon 6.8% par an ( paiement annuel )
Echéance 24/06/2038



Prospectus brochure de l'obligation CITIGROUP INC XS0372391945 en GBP 6.8%, échéance 24/06/2038


Montant Minimal 50 000 GBP
Montant de l'émission 800 000 000 GBP
Prochain Coupon 25/06/2025 ( Dans 271 jours )
Description détaillée L'Obligation émise par CITIGROUP INC ( Etats-unis ) , en GBP, avec le code ISIN XS0372391945, paye un coupon de 6.8% par an.
Le paiement des coupons est annuel et la maturité de l'Obligation est le 24/06/2038







Citigroup Inc.
GBP 800,000,000 6.80%. Fixed Rate Notes due June 2038
under the
Programme for the issuance of
Euro Medium-Term Notes, Series B
The securities described herein have not been and will not be registered under the U.S. Securities
Act of 1933 and may not be offered or sold in the United States absent registration or an applicable
exemption from registration requirements.

1.
Issuer:
Citigroup Inc.
2.
Specified Currency:
Sterling ("GBP")
3.
Aggregate Nominal Amount:
GBP 800,000,000
4.
Issue Price:
99.468%
5.
(i)
Specified Denominations:
GBP 50,000 and integral multiples of GBP 1,000
thereafter
(ii)
Calculation Amount:
GBP 1,000
6.
Issue Date:
25 June 2008
7.
Maturity Date:
25 June 2038
8.
Interest Basis:
The Notes will bear interest semi-annually in arrears
at a fixed rate of interest from and including the Issue
Date to but excluding the Maturity Date.
9.
Redemption/Payment Basis:
Redemption at par
10.
Status of the Notes:
Senior
PROVISIONS RELATING TO INTEREST PAYABLE
11.
Fixed Rate Note Provisions:
Applicable

(i)
Rate of Interest:
6.80% per annum payable semi-annually in arrears

(ii)
Interest Payment Dates:
25 December and 25 June in each year, as adjusted in
accordance with the Modified Following Business
Day Convention. No adjustment will be made to the
Fixed Coupon Amount.

(iii)
Fixed Coupon Amount:
GBP 34.00 per Calculation Amount

(iv)
Day Count Fraction:
Actual/Actual (ICMA)

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PROVISIONS RELATING TO REDEMPTION
12.
Final Redemption Amount:
Par
13.
Early Redemption Amount:
Par, payable upon redemption for tax purposes or on
event of default.
GENERAL PROVISIONS APPLICABLE TO THE NOTES
14.
Form of Notes:
Bearer Notes.
15.
Financial Center for Payment Dates:
London
16.
Redenomination, renominalisation and
Applicable.
reconventioning provisions:
17.
Consolidation provisions:
Applicable in the event of re-opening.
DISTRIBUTION
18.
TEFRA:
The D Rules are applicable
19.
Listing:
Luxembourg
OPERATIONAL INFORMATION
ISIN Code:
XS0372391945
Common Code:
037239194


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