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Citigroup Announces €1.5 Billion Redemption of 0.500% Fixed Rate / Floating Rate Notes Due 2027

Citigroup Inc. is announcing the redemption, in whole, constituting €1,500,000,000 of its 0.500% Fixed Rate / Floating Rate Notes due 2027 (the “notes”) (ISIN: XS2063232727).The redemption date for the notes is October 8, 2026 (the “redemption date”). The cash redemption price for the notes payable…

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