Bond Citibank N.A. Bonds 4.914% ( US17325FBP27 ) in USD
| Issuer | Citibank N.A. Bonds | ||||||||
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| Country | United States
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| ISIN code |
US17325FBP27 ( in USD )
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| Interest rate | 4.914% per year ( payment 2 times a year) | ||||||||
| Maturity | 28/05/2030 | ||||||||
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Prospectus brochure in PDF format |
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| Cusip | 17325FBP2 | ||||||||
| Standard & Poor's ( S&P ) rating | A+ ( Upper medium grade - Investment-grade ) | ||||||||
| Moody's rating | Aa3 ( High grade - Investment-grade ) | ||||||||
| Next Coupon | 29/11/2026 ( In 54 days ) | ||||||||
| Detailed description |
The primary banking entity of Citigroup for commercial and retail operations. The Bond issued by Citibank N.A. Bonds ( United States ) , in USD, with the ISIN code US17325FBP27, pays a coupon of 4.914% per year. The coupons are paid 2 times per year and the Bond maturity is 28/05/2030 The Bond issued by Citibank N.A. Bonds ( United States ) , in USD, with the ISIN code US17325FBP27, was rated Aa3 ( High grade - Investment-grade ) by Moody's credit rating agency. The Bond issued by Citibank N.A. Bonds ( United States ) , in USD, with the ISIN code US17325FBP27, was rated A+ ( Upper medium grade - Investment-grade ) by Standard & Poor's ( S&P ) credit rating agency. |
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