Saturday, 25 Mar 2017 10:50

Citigroup ZCN 29/04/2020

XS1061038797

TypeBond, Structured product
ISIN codeXS1061038797
Trading codeXS1061038797
Listing17/06/2014
Final maturity29/04/2020
Amount issued7 500 000 GBP
ProgrammeGlobal Medium Term Note Programme
Redemption price-
Issuer(s)CITIGROUP INC
 388 Greenwich Street NEW YORK, NY 10013 USA
 UNITED STATES
Final terms (Pricing supplement)12/06/2014
Prospectus de base Programme18/12/2013
Prospectus de base Programme16/12/2016
Supplément de prospectus17/01/2017
Document incorporé par référence16/12/2016

 37 additionnal documents...

Close on 17/06/2014100 i %
Month Low-
Month High-
Year Low-
Year High-

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