Thursday, 19 Jan 2017 22:55

Citigroup FRN 13/02/2017

XS0566479613

TypeBond, Structured product
ISIN codeXS0566479613
Trading codeXS0566479613
Listing11/02/2011
Final maturity13/02/2017
Amount issued995 000 GBP
ProgrammeGlobal Medium Term Note and Certificate Programme
Redemption price-
Issuer(s)CITIGROUP INC
 388 Greenwich Street NEW YORK, NY 10013 USA
 UNITED STATES
Final terms (Pricing supplement)07/12/2010
Document incorporé par référence18/08/2010
Document incorporé par référence18/08/2010
Document incorporé par référence18/08/2010
Document incorporé par référence18/08/2010

 66 additionnal documents...

Close on 17/01/2017101.46 i %
Month Low101.44
Month High101.46
Year Low101.44
Year High101.46

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