Citigroup (C) 8-KOther Events
Filed: 25 Apr 08, 12:00am
1. | Issuer: | Citigroup Inc. | ||||
2. | Specified Currency: | Swedish Kronor ("SEK") | ||||
3. | Aggregate Nominal Amount: | SEK 1,650,000,000 | ||||
4. | Issue Price: | 100% | ||||
5. | Specified Denominations: | SEK 1,000,000 | ||||
6. | Issue Date: | 12 December 2007 | ||||
7. | Maturity Date: | 12 December 2012 | ||||
8. | Interest Basis: | Annually in arrears at a fixed rate of interest from and including 12 December 2007 to but excluding the Maturity Date. | ||||
9. | Redemption/Payment Basis: | Redemption at par | ||||
10. | Status of the Notes: | Senior | ||||
PROVISIONS RELATING TO INTEREST PAYABLE | ||||||
11. | Fixed Rate Note Provisions: | Applicable | ||||
(i) Rate of Interest: | 5.44%. per annum payable annually in arrears | |||||
(ii) Interest Payment Dates: | 12 December in each year from and including 12 December 2008 to but excluding 12 December 2012, as adjusted in accordance with the Following Business Day Convention | |||||
(iii) Fixed Coupon Amount: | SEK 54,400 per Specified Denomination | |||||
(iv) Day Count Fraction: | 30E/360 | |||||
12. | Final Redemption Amount: | Par | ||||
13. | Early Redemption Amount: | Par, payable on redemption for taxation reasons or on event of default | ||||
GENERAL PROVISIONS APPLICABLE TO THE NOTES | ||||||
14. | Form of Notes: | Bearer Notes. | ||||
15. | Additional Financial Centers relating to Payment Dates: | London, Stockholm | ||||
16. | Redenomination, renominalisation and reconventioning provisions: | Applicable. | ||||
17. | TEFRA: | The D Rules are applicable | ||||
18 | Listing: | Luxembourg | ||||
OPERATIONAL INFORMATION | ||||||
19. | ISIN Code: | XS0335160296 | ||||
20. | Common Code: | 033516029 |