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Citigroup Global Markets Holdings bond | 2027-05-05 USD | US17331UKX45

Change % : ▼-2.957%

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Overview

pricing as of 2026-08-19
–
ZC
52.840
2027-05-05
USD
78.25/35.68

Analytics

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Bond Information

Issue Type
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Country
United States
Industry
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Region
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Maturity Date
2027-05-05
Par Value
Callable
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Next Call Date
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Call Type
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Call Price (%)
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Series
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Class
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Maturity Structure
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Amount Outstanding (mil)

Coupon Information

Coupon
Coupon Type
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Coupon Frequency
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First Coupon Date
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Last Coupon Date
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Risk Information

Sinking Fund
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Security
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Subordination
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Debt Type
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Issuance Information

Issue Date
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Dated Date
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Issue Size (mil)
Min. Piece
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Min. Increment
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About the C ZC 2027-05-05 USD bond (US17331UKX45)

This Citigroup Global Markets Holdings Inc structured note has a N/A N/A rate coupon paid on a Login basis. It was issued on MAR 12, 2000 with an issue size of - million USD and matures on May 05, 2027 with a last coupon date of FEB 28, 2020.

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C 10.65% 2027-03-01 USD

XS2752748447

Pays a 10.65% coupon and matures on March 01, 2027.

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C ZC 2027-03-04 USD

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Pays a % coupon and matures on March 04, 2027.

91.20 USD▲ 3.27

C ZC 2027-03-30 USD

US17331AXN61

Pays a % coupon and matures on March 30, 2027.

61.10 USD▲ 3.20

C ZC 2027-04-22 USD

US17331A2F77

Pays a % coupon and matures on April 22, 2027.

99.95 USD▲ 2.55

About the issuer Citigroup Global Markets Holdings Inc

Citigroup Global Markets Holdings Inc, founded in 2000 and headquartered in New York City, serves as a critical component of Citigroup's extensive financial services. The company focuses on investment banking, capital markets, and asset management, providing innovative financial solutions to a diverse clientele including corporations, institutions, and government entities.