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ISIN
XS2110112971
Date
23/11/2024 - 11:01am

Instrument Info

Field Value
Citigroup Inc
XS2110112971
CITIGROUP SOCIAL 3,28% 02/12/25
Bonds without LP
Social Bond
Fixed rate
1Y
3.28
02/12/2022 22/05/2024 27/11/2025 02/12/2025 04/12/2023 500000000 No

Settlement info

Automatic International with Central Counterpart EUROCLEAR/CLEARSTREAM GAR EUR 26/11/2024 Secco ACT/ACT