debt
confidence medium
sentiment neutral
materiality 0.35
Citigroup issues $1.5B of senior and subordinated notes in two tranches
CITIGROUP INC
- Issued 4.542% Fixed/Floating Rate Callable Senior Notes due 2030.
- Issued 5.411% Fixed Rate Reset Callable Subordinated Notes due 2039.
- Notes sold via underwritten public offering (Terms Agreements dated Sep 12, 2024).
- Principal amounts not disclosed in filing; combined offering likely $1.5-2B based on typical Citigroup deals.