Citigroup Inc. is announcing the redemption, in whole, constituting $2,000,000,000 of its 0.981% Fixed Rate / Floating Rate Notes due 2025 , and the redemption, in whole, constituting $500,000,000.
Citigroup Inc. announced the redemption, in whole, constituting $56,782,000 of its 5.160% Fixed Rate /Floating Rate Subordinated Notes due 2027. The redemption date for the notes is May 24, 2024 . The.
Citigroup Inc. is announcing the redemption, in whole, constituting C$56,782,000 of its 5.160% Fixed Rate / Floating Rate Subordinated Notes due 2027 .
The redemption date for the notes is May 24,.