EX-99.4 5 d140318dex994.htm RULE 135C NOTICE TO CITIGROUP'S AUD 78,300,000 2.63% NOTES DUE FEBRUARY 2020 Rule 135c Notice to Citigroup's AUD 78,300,000 2.63% notes due February 2020

Exhibit 99.4

Citigroup Inc.

A$78,300,000 2.63% Notes due 12 February 2020

under the

Programme for the issuance of Euro Medium-Term Notes, Series B

The securities described herein have not been and will not be registered under the U.S. Securities Act of 1933 and may not be offered or sold in the United States absent registration or an applicable exemption from registration requirements.

 

1   Status of the Notes:       Senior
2   Currency:       Australian dollars (“A$”)
3   Aggregate Nominal Amount:       A$78,300,000
4   Issue Date:       12 February 2015
5   Issue Price:       99.98% of the Aggregate Nominal Amount
6   Specified Denominations:       A$1,000
7   Interest Basis:       2.63% per annum Fixed Rate payable semi-annually in arrears
8   Business Day Convention:       Modified Following Business Day Convention; Business Days are Sydney, Tokyo, London and New York.
9   Maturity Date:       12 February 2020
10   Redemption Amount:       Par
11   Interest Payment Dates:       12 February and 12 August in each year.
12   Fixed Interest Amount:       A$ 13.15 per Specified Denomination.
13   Day Count Fraction:       30/360.
14   Form of Notes:       Global Note exchangeable for Individual Note Certificates in limited circumstances.
15   Listing:       None
16   ISIN:       XS1179296980
17       Common Code:       117929698