Exhibit 99.1
Citigroup Inc.
EUR 1,000,000,000 2.375%. Fixed Rate Notes due 22 May 2024
under the
Programme for the issuance of Euro Medium-Term Notes, Series B
1. | Specified Currency: | Euro ("EUR") |
2. | Aggregate Nominal Amount of the Series: | EUR 1,000,000,000 |
3. | Issue Price | 98.949%. of the Aggregate Nominal Amount |
4. | (i) Specified Denominations: | EUR 100,000 and integral multiples of EUR 1,000 in excess thereof up to and including EUR 199,000 |
| (ii) Calculation Amount: | EUR 1,000 |
5. | Issue Date: | 22 May 2014 |
6. | Maturity Date: | 22 May 2024 |
7. | Interest Basis: | 2.375%. Fixed Rate |
8. | Redemption/Payment Basis: | Redemption at par |
9. | Put/Call Options: | Not Applicable |
10. | Status of the Notes: | Senior |
PROVISIONS RELATING TO INTEREST PAYABLE |
111. | Fixed Rate Note Provisions: | Applicable |
| (i) Rate of Interest: | 2.375%. per annum payable annually in arrears |
| (ii) Interest Payment Date(s): | 22 May in each year from, and including, 22 May 2015 to, and including, 22 May 2024 |
| (iii) Fixed Interest Amount(s): | EUR 23.75 per Calculation Amount |
| (iv) Day Count Fraction: | Actual/ Actual (ICMA) |
12. | Final Redemption Amount: | EUR 1,000 per Calculation Amount |
GENERAL PROVISIONS APPLICABLE TO THE NOTES |
13. | Form of Notes: | Registered Notes: Global Registered Note exchangeable for Individual Note Certificates in the limited circumstances specified in the Global Registered Note |
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14. | Additional Financial Center relating to Payment Dates: | London |
| LISTING AND ADMISSION TO TRADING |
| Listing: | Luxembourg |
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15. | OPERATIONAL INFORMATION | |
| ISIN Code: | XS1068874970 |
| Common Code: | 106887497 |