INVESTMENT DESCRIPTION
CURRENCY GBP
STRIKE DATE 13/06/2022
ISIN XS2482292500
COUNTERPARTY Citi
TYPE Note
RETURN & BARRIERS
Issuer: Citi
Investment Term: Up to 6 years
Payment Rate: 10.70% per annum
Kick Out Trigger Level: 100% of Initial Index Level
Capital Protection: 65% european barrier at maturity
MATURITY DATE
13/06/2024
FINAL MATURITY DATE
28/06/2028