3/12/2025 | IGLM | Citigroup calls $2.25 billion fixed-to-floaters and floaters due 2026
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1/24/2025 | IGLMPF | Citigroup to redeem all $1.5 billion 4.7% series V preferred stock
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1/24/2025 | EULM | Citigroup to redeem 4.25% fixed-to-floating subordinated notes due 2030
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10/29/2024 | IGLM | Citigroup calls $1 billion 1.281% fixed-to-floaters due 2025
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8/28/2024 | IGLMPF | Citigroup to redeem all $1.5 billion 5% series U preferred stock
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5/17/2024 | IGLM | Citigroup calls $2 billion floaters, fixed/floaters due 2025
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4/26/2024 | IGLM | Citigroup calls $2.5 billion floaters, fixed/floaters due 2025
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4/24/2024 | CAIGLM | Citigroup calls C$56.78 million 5.16% fixed-to-floaters due 2027
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4/15/2024 | IGLMPF | Citigroup to redeem all $1.25 billion 5.35% series D preferred stock
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4/9/2024 | IGLM | Citigroup calls $2.75 billion fixed-rate/floating-rate notes due 2025
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2/28/2024 | IGLMPF | Citigroup to redeem remaining $550 million series J preferred stock
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11/29/2023 | IGLMPF | Citigroup decides to partially redeem series J preferred stock
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10/16/2023 | IGLMPF | Citigroup to redeem all $1.5 billion of 6.875% series K preferreds
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9/29/2023 | IGLMPF | Citigroup to redeem all $1.5 billion of 5.95% series A preferreds
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7/14/2023 | IGLMPF | Citigroup to redeem all $750 million of series B preferred stock
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5/17/2023 | IGLM | Citigroup calls $2.25 billion floaters, fixed/floaters due 2024
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5/10/2023 | IGLM | Citigroup calls $1.5 billion fixed-rate/floating-rate notes due 2024
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5/2/2023 | IGLM | Citigroup to redeem $1.5 billion of floating-rate notes due 2024
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9/12/2022 | IGLM | Citigroup to redeem $2.15 billion floaters, 2.7% notes due 2022
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8/16/2022 | IGLM | Citigroup to early redeem $2 billion of floating-rate notes due 2023
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7/8/2022 | IGLM | Citigroup to redeem $3.25 billion floaters, fixed-to-floaters due 2023
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2/24/2022 | EULM | Citigroup to redeem £99.9 million enhanced trust preferreds March 28
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1/7/2022 | IGLM | Citigroup to redeem all $2 billion 3.142% fixed/floaters due 2023
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12/14/2021 | EULM | Citigroup to redeem all €1 billion 0.5% notes due 2022
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9/27/2021 | IGLM | Citigroup to redeem in full $35 million zero-coupon notes due 2059
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4/23/2021 | EULM | Citigroup to redeem $30 million zero-coupon notes due 2049 on April 30
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4/16/2021 | IGLMPF | Citigroup to redeem all $2.29 billion of series Q, R preferred stock
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2/25/2020 | IGLMPF | Citigroup to redeem all $1.5 billion of series O preferred stock
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11/25/2019 | IGLM | Citigroup plans to redeem $1 billion floaters due 2020 on Dec. 10
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10/15/2019 | IGLMPF | Citigroup to redeem all $1.5 billion of series N preferred stock
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1/10/2019 | IGLMPF | Citigroup to redeem all $480 million of series L preferred stock
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9/20/2018 | IGLMPF | Citigroup to redeem all $575 million of series C preferred stock
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3/28/2018 | IGLMPF | Citigroup redeems all $121.3 million of series E preferred stock
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3/6/2018 | EULM | Citigroup calls two series of fixed-to-floaters for April redemption
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1/10/2018 | EULM | Citigroup to redeem €1.29 billion 4.75% fixed-to-floaters due 2019
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1/2/2018 | IGLMPF | Citigroup to redeem 8.125% series AA noncumulative preferred stock
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9/8/2017 | CAIGLM | Citi calls C$481.5 million 4.65% fixed-to-floaters due 2022 at par
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1/25/2017 | EULM | Citigroup calls €663.08 million 3.625% fixed-to-floaters due 2017
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1/3/2017 | IGLM | Citigroup accepts $579 million notes in tender offers for five series
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12/16/2016 | IGLM | Citigroup prices tender offers for $3.6 billion notes in five series
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12/16/2016 | IGLM | Citigroup collects early tenders for $1.5 billion of five note series
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12/2/2016 | IGLMPF | Citigroup tenders for five series of notes totaling $3.6 billion
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9/23/2016 | EULM | Citigroup receives tenders for €67.21 million 4.25% fixed-to-floaters
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9/15/2016 | EULM | Citigroup tenders for €519 million 4.25% fixed-to-floaters due 2030
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7/28/2016 | EULM | Citigroup calls €1.07 billion 4.75% fixed-to-floating notes due 2017
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5/25/2016 | IGLM | Citigroup wraps tenders, accepts $2.3 billion of notes from 13 series
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5/11/2016 | IGLM | Citigroup announces yields, total consideration for note tender offers
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5/11/2016 | IGLM | Citi lifts tender cap for some notes; maximum offers oversubscribed
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5/9/2016 | EULM | Citigroup prices tender offer for four series of sterling, euro notes
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5/6/2016 | LMSP | Citigroup to redeem C-Tracks ETNs due 2020 linked to Citi Volatility
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4/28/2016 | EULM | Citigroup begins tender offer for four series of sterling, euro notes
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4/27/2016 | IGLM | Citigroup tenders for any and all, maximum amount of 13 note series
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12/22/2015 | IGLM | Citigroup accepts $6.3 billion of tenders for several series of notes
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12/8/2015 | IGLM | Citigroup prices tender offers, increases caps for six series of notes
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12/8/2015 | IGLM | Citigroup tallies early tenders, ups caps under maximum tender offers
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12/1/2015 | EULM | Citigroup wraps tender offers for four series of sterling, euro notes
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11/30/2015 | IGLM | Citi gets tenders for $442,000 more 6.95% notes, $1.23 million 5.375% notes in offer
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11/19/2015 | IGLM | Citigroup tenders for 7.875% notes, capped amount of numerous series
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11/17/2015 | EULM | Citigroup begins tender offers for four series of sterling, euro notes
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11/12/2015 | IGLM | Citi prices tender for 6.95%, 5.375% notes, gets $1.15 billion so far
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11/11/2015 | IGLM | Citigroup accepts early tenders for $1.15 billion of 2018, 2020 notes
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11/4/2015 | IGLM | Citi holders tender $1.66 billion 4.45% notes, $1.6 billion 8.5% notes
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11/3/2015 | IGLM | Citigroup prices cash tender offers for 4.45%, 8.5% senior notes
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10/28/2015 | IGLM | Citigroup begins cash tender offers for up to $1.95 billion notes
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10/28/2015 | IGLM | Citi tenders for $5.2 billion 4.45% notes due 2017, 8.5% notes due 2019
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9/14/2015 | EULM | Citi prices, wraps tender offers for sterling notes, two euro notes
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9/2/2015 | EULM | Citigroup begins tender offers for sterling notes, two euro notes
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8/24/2015 | IGLM | Citigroup buys back $569 million of seven series of notes in offers
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8/10/2015 | IGLM | Citigroup announces early response, sets pricing in tender for notes
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8/10/2015 | IGLM | Citigroup announces early response in tender offers for seven notes
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7/27/2015 | IGLM | Citigroup announces tender offers for seven series of outstanding notes
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7/8/2015 | IGLM | Citigroup accepts $554.87 million of tendered 6%, 6.125% notes
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6/23/2015 | IGLM | Citi tallies early tenders for two subordinated note series, lifts offer cap; pricing also set
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6/19/2015 | EULM | Citigroup wraps tender offers for euro, sterling, Swiss franc notes
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6/15/2015 | IGLM | Citi buys back $1.54 billion of six series of notes in tender offers
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6/9/2015 | IGLM | Citigroup tenders for up to $500 million 6%, 6.125% subordinated notes
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6/9/2015 | EULM | Citigroup begins tender offers for euro, sterling, Swiss franc notes
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6/1/2015 | IGLM | Citi prices tender offers, increases cap for 6.125% subordinated notes
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5/15/2015 | IGLM | Citigroup to buy back up to $3.01 billion of $4.99 billion notes
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3/30/2015 | IGLM | Citigroup gives final results of tender offer for four series of notes
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3/16/2015 | IGLM | Citigroup upsizes tender offer for four series of notes; sets pricing
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3/16/2015 | IGLM | Citigroup wraps early tenders; offers for two series oversubscribed
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3/10/2015 | IGLM | Citigroup accepts $406.24 million of notes in tender for three series
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3/2/2015 | IGLM | Citigroup begins tender offer for $1.53 billion of four notes series
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2/24/2015 | IGLM | Citigroup lifts tender cap for two note series, gives early update
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2/9/2015 | IGLM | Citigroup begins tender offer for $380 million of three notes series
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1/6/2015 | IGLM | Citi accepts roughly $1.15 billion notes in tender offer for six series
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12/10/2014 | IGLM | Citi wraps tenders for three series, ups cap for others; pricing set
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11/25/2014 | IGLM | Citigroup begins tender offer for $1.05 billion of six notes series
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10/7/2014 | IGLM | Citi accepts tenders for $416.8 million total of 5.5%, 6.125% notes
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9/23/2014 | IGLM | Citi sets pricing, reports early tender results as one offer oversubscribed
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9/22/2014 | IGLM | Citigroup gets tenders for $267.95 million of 6.125% notes in offer
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9/10/2014 | IGLM | Citigroup begins tender offers for $410 million of two note series
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9/8/2014 | IGLM | Citigroup sets pricing in tender for $700 million of 6.125% notes
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8/22/2014 | IGLM | Citigroup tenders for $700 million of outstanding 6.125% notes due 2017
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7/30/2014 | IGLM | Citi prices tender offers for up to $2.15 billion of five note series
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7/30/2014 | IGLM | Citi gives early tender results in offer, lifts sub-cap for two series
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7/16/2014 | IGLM | Citi begins tender offers for up to $2 billion of five series of notes
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6/17/2014 | IGLM | Citigroup completes cash tender offers for nine series of notes
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6/3/2014 | IGLM | Citigroup prices tender offers, increases caps for three note series
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5/14/2014 | LMPF | Adam Statutory Trust IV calls $40 million capital securities due 2033
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5/9/2014 | LM | Citigroup wraps tender offer for euro, Swiss franc notes; pricing set
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5/9/2014 | LM | Citigroup wraps tender offer for euro, Swiss franc subordinated debt
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4/25/2014 | LM | Citigroup begins tender offer for euro, Swiss franc subordinated debt
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3/27/2014 | IGLMPF | Citigroup to fully redeem three series of trust preferred securities
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3/17/2014 | IGLM | Citigroup holders tender $297.99 million in offers for three series
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3/3/2014 | IGLM | Citi ups tender caps for two series, tallies early results; pricing set
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2/14/2014 | IGLM | Citigroup tenders for up to $230 million of three series of notes
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2/12/2014 | LM | Citi to pay 97.42 to settle tenders for £181.49 million of 4.5% notes
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2/11/2014 | LM | Citi to wrap tenders for £181 million of 4.5% notes, no 4.25% notes
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2/3/2014 | LM | Citi tenders for up to $285 million equivalent of 4.5%, 4.25% notes
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12/11/2013 | IGLM | Citigroup to settle tenders for $462.78 million of three note series
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11/26/2013 | IGLM | Citigroup lift tender cap in offer for three note series to $510 million
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11/12/2013 | IGLM | Citigroup offers to buy back $450 million of three series of notes
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8/29/2013 | IGLMPF | Citigroup Capital X to redeem its 6.1% trust preferreds on Oct. 1
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8/28/2013 | IGLM | Citigroup raises tender cap for seven series of notes to $3.55 billion
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8/14/2013 | IGLM | Citigroup tenders for up to $3.07 billion of seven series of notes
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6/14/2013 | IGLM | Citigroup completes upsized $655 million tender for four note series
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6/13/2013 | IGLMPF | Citigroup Capital XVI to redeem 6.45% trust preferreds on July 15
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5/31/2013 | IGLM | Citigroup lifts tender offer cap to $650 million for four note series
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5/16/2013 | IGLM | Citigroup tenders for up to $400 million of four series of notes
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5/14/2013 | CVIGLMPF | Citigroup calls 8.5% preferreds, 6.5% convertible preferreds
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4/18/2013 | LM | Citigroup's tender offer is for up to €600 million subordinated notes
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4/17/2013 | LM | Citigroup offers to buy back €2.05 billion of subordinated notes
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3/15/2013 | IGLMPF | Four Citigroup Capital trusts schedule redemptions for April 16
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2/21/2013 | LM | Citi wraps tenders for up to $500 million notes in Dutch auction offer
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2/21/2013 | LM | Citi prices tender offers for four note series in Dutch auction offer
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2/14/2013 | LM | Citi tenders for $500 million of four note series via Dutch auction
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12/31/2012 | IGLM | Citigroup completes roughly $1 billion offer for 12 series of notes
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12/11/2012 | IGLM | Citi prices fixed spread tender offers to buy back nine note series
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12/10/2012 | LM | Citigroup gives price, results of tender offer for 7.375%, 4% notes
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12/6/2012 | LM | Citigroup extends offer, ups cap for 7.375%, 4% notes to €725 million
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12/6/2012 | IGLM | Citigroup extends offers to buy back $910 million of 12 note series
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11/26/2012 | LM | Citigroup offers to purchase 7.375% notes due 2014, 4% notes due 2015
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11/21/2012 | IGLM | Citigroup offers to buy back $910 million of 12 series of notes
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11/14/2012 | LMPF | Citigroup Capital XX 7.875% trust preferreds to be redeemed Dec. 17
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9/17/2012 | IGLM | Citigroup accepts $1.65 billion of notes for purchase in tender offers
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8/31/2012 | IGLM | Citigroup holders tender $3.03 billion of notes through early deadline
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8/29/2012 | IGLM | Citi increases, extends, prices tender offers for seven note series
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8/29/2012 | IGLM | Citigroup increases, extends tender offer for seven series of notes
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8/10/2012 | IGLM | Citigroup offers to purchase up to $675 million of seven note series
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8/9/2012 | LM | Citigroup gets tenders for $570 million notes, sets clearing spreads
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8/9/2012 | LM | Citi prices tenders for five note series, lifts cap to $570.41 million
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8/1/2012 | LM | Citi announces tender offer for £2.18 billion, CHF 400 million notes
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7/12/2012 | IGLMPF | Citigroup Capital XIX 7.25% trust preferreds to be redeemed Aug. 15
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6/11/2012 | IGLMPF | Citigroup Capital XII, XXI to redeem all of 8.5%, 8.3% preferreds
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6/11/2012 | IGLMPF | Citigroup Capital XII to redeem all 8.5% trust preferreds on July 18
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2/3/2012 | LM | Citigroup offers to purchase three series of eurobonds via Citibank
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6/27/2011 | IGLM | Citigroup gets tenders for more than $1.25 billion of four note series
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6/16/2011 | IGLM | Citibank gets tenders for $4.9 billion of asset-backed securities
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6/2/2011 | IGLM | Citigroup releases results of tender offer for four note series so far
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5/16/2011 | IGLM | Citigroup offers to buy back up to $1.25 billion of four note series
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4/4/2011 | IGLMPF | Citigroup gets consents to kill some covenants for 6% trust preferreds
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3/9/2011 | IGLM | Citigroup ends unsuccessful consent solicitation for 7.875% notes
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3/7/2011 | IGLMPF | Citigroup extends deadline, lifts fee, amends record date of 6% trust preferreds consent bid
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2/23/2011 | IGLM | Citigroup pushes back consent date for 7.875% notes by two more weeks
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2/18/2011 | IGLMPF | Citigroup extends consent bid to kill covenants of 6% trust preferreds
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2/8/2011 | IGLM | Citigroup extends consent solicitation for 7.875% notes until Feb. 22
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1/25/2011 | IGLM | Citigroup gets tenders for $93.73 million 6.625% notes, $57.6 million 7.875% notes in exchange offer
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1/21/2011 | IGLM | Citigroup retires $4.03 billion debt in 2010, hopes to buy back more
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1/21/2011 | IGLMPF | Citigroup seeks consents to terminate covenants of 6% trust preferreds
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1/10/2011 | IGLM | Citigroup extends early dates for CitiFinancial's 6.625%, 7.875% notes
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12/31/2010 | IGLM | Citigroup offers to exchange CitiFinancial's 6.625%, 7.875% notes
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6/24/2010 | IGLM | Citigroup launches tender offers for 7.25% notes and 5.125% notes
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5/7/2010 | IGLM | Citigroup accepts tenders for $535.9 million of seven notes series
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4/23/2010 | IGLM | Citigroup launches $1.1 billion tender offer for seven notes series
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