Monday, April 29, 2024 - 09:47

CITIGROUP 2,125% 10/09/2026

Reference Data

Instrument Info
Issuer
ISIN
Description
Category
ESG
Coupon type
Coupon frequency
Coupon %
Issue date
Start trading date
Last trading date
Maturity
First Coupon Date
Quantity
Professional Only
Data sheet
Citigroup IncXS1107727007CITIGROUP 2,125% 10/09/2026Bnk Fin. Bond-Fixed rate1Y2.1310/09/201428/09/202207/09/202610/09/202610/09/20151000000000
Settlement info
Settlement Compartment
Sistema di Regolamento
Trading Currency
Settlement Date
Trading Convention
Day Count
Automatic International with Central CounterpartEUROCLEAR/CLEARSTREAM GAREUR30/04/2024SeccoACT/ACT
Further details
Minimum Lot
Increments
Price Tick
WarmUp First Quoting Date
Further Redemption Details
1000001000000.001--