Autocallable Contingent Coupon Equity Linked Securities Linked to the Worst Performing of the Dow Jones Industrial AverageTM, the Russell 2000® Index and the Nasdaq-100 Index®
17326Y2G0 / US17326Y2G01

 
Indicative Terms
IssuerCitigroup Global Markets Holdings Inc.
UnderlyingRussell 2000® Index, Dow Jones Industrial Average and Nasdaq-100 Index
Pricing DateOctober 26, 2018
MaturityOctober 31, 2023
Coupon AmountOn each contingent coupon payment date, unless previously redeemed, the securities will pay a contingent coupon equal to between 0.4583% and 0.5417% of the stated principal amount of the securities (equivalent to a contingent coupon rate of between 5.5% and 6.5% per annum) (to be determined on the pricing date) if and only if the closing value of the worst performing underlying on the immediately preceding valuation date is greater than or equal to its coupon barrier value.
Coupon Payment DatesFor each valuation date, the fifth business day after such valuation date, except that the contingent coupon payment date for the final valuation date will be the maturity date. Monthly starting on November 2018
Payment at Maturity

If the securities are not automatically redeemed prior to maturity, you will be entitled to receive at maturity for each security you then hold:

(i) If the final share price of the worst performing underlying shares on the final valuation date is greater than or equal to the applicable final barrier price: $1,000 plus the contingent coupon payment due at maturity

(ii) If the closing value of the worst performing underlying on the final valuation date is less than its coupon barrier value but greater than or equal to its final barrier value: $1,000

(iii) If the closing value of the worst performing underlying on the final valuation date is less than its final barrier value:
$1,000 + ($1,000 × the underlying return of the worst performing underlying on the final valuation date)

ListingNone. The Notes will not be listed on any securities exchange.
Investor Profile
Investor Seeks:
  • Contingent Interest
  • Exposure to Russell 2000® Index, Dow Jones Industrial Average and Nasdaq-100 Index
    A medium-term equity-linked investment
Investor Can Accept:
  • A holding period of approximately 5 year
  • The possibility of losing part or all of the principal amount invested if not held up to Maturity
  • Please review the “Selected Risk Factors” section of the applicable Preliminary Pricing Supplement for a complete description of the risks associated with this investment
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