Friday, 20 Jan 2017 05:24

Citigroup 5% 12/11/2018

XS0398511724

TypeBond, Fixed rate
ISIN codeXS0398511724
Trading codeXS0398511724
Listing13/11/2008
Final maturity12/11/2018
Amount issued10 000 000 EUR
ProgrammeGlobal Medium Term Note and Certificate Programme
Redemption price100%
Issuer(s)CITIGROUP INC
 388 Greenwich Street NEW YORK, NY 10013 USA
 UNITED STATES
Final terms (Pricing supplement)10/11/2008
Supplément de prospectus23/12/2008
Document incorporé par référence21/08/2008
Document incorporé par référence21/08/2008
Document incorporé par référence21/08/2008

 78 additionnal documents...

Close on 04/10/2016106.75 i %
Month Low-
Month High-
Year Low-
Year High-

For a better version of the chart, please download the Flash plug in