New issue: Issuer Citigroup issued international bonds (XS2110112971) with the coupon rate of 3.28% in the amount of EUR 500 mln maturing in 2025
November 9, 2022 Cbonds
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Statusoutstanding
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Country of riskUSA
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Redemption (put/call option)
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Amount500,000,000 EUR
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М/S&P/F— / — / —
Company — Citigroup

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Full nameCitigroup Inc
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Registration countryUSA
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IndustryBanks
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