Security (XS1081143122)

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Citigroup FRN 01/07/2021

Delisted
Euro MTF
Bond
Floating Rate Note
USD

XS1081143122

100 i %
01/07/14 15:55:26
Overview
Market
Documents
Issuer
Programme
Reference data
Issue type
Floating Rate Note
Issued amount
10,000,000 USD
Listing date
01/07/2014
First trading date
01/07/2014
Final maturity
01/07/2021
Delisting date
12/05/2020 Early redemption
Periodicity
Quarterly
Redemption price
100
Notices
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Always in motion
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Always in motion