Notice

Issuer: Citigroup Global Markets Australia Pty Limited - New Warrants Issuance

What's this about:
Notice reference number: 1282.22.11
Date published: 18/11/22
Effective as of: 21/11/22
Last updated: 18/11/22

The warrants may be issued with a Barrier/Stop Loss, Bonus Level, Cap, Reset Date/s or other features.

Please refer to the relevant PDS for confirmation of which of these features (if any) apply to the below warrants.

18 November 2022

Annual Reset Date.

Last day for trading cum Current Loan Amount.

21 November 2022

Commence deferred settlement trading on the basis of the New Loan Amount (interest and borrowing fees having been paid) under ASX codes xxxDOB.

All Rolling Instalments will accordingly be tagged as trading on a rollover complete basis (RC) and on a reconstructed basis (RE).

22 November 2022

Rollover Record Date.

29 November 2022

Last day for deferred settlement trading.  All holdings updated at the close of trading following the netting and lapse process (if and when applicable - refer to terms of issue for further details).

30 November 2022

Normal trading (T+2) commences under ASX codes xxxIOB.

02 December 2022

Settlement of deferred settlement trades.

 

It should be noted that Instalment holders wishing to sell Rolling Instalments in the period from 21 November 2022 – 29 November 2022 (inclusive) should confirm the number of Instalments they hold before offering to sell those Instalments.  Due to the netting and lapse process (please refer to the terms of issue for full details) there is a risk that a holder, who is required to make a Rollover Payment to retain all of their existing Rolling Instalments, may not be able to determine exactly how many Rolling Instalments they hold if they do not pay Citigroup the Rollover Payment prior to 5pm on 22 November 2022.

If an Instalment holder wishes to ensure they can meet their settlement obligations when selling their Instalments during the period 21 November 2022 – 29 November 2022, they must pay any Rollover Payment prior to 5pm on 22 November 2022 (please refer to terms of issue for procedures relating to payment).

Brokers should note that if their selling client fails to pay any amounts owing to Citigroup on Rolling Instalments they have sold on or after 22 November 2022, and Citigroup lapse any of those Rolling Instalments, the selling client may not hold sufficient Rolling Instalments on the settlement date to meet their settlement obligations.

The following tables detail the Old Loan Amount and, effective from 21 November 2022, the New Loan Amount that will apply to trading of these Instalments on ASX Trade.  Please contact Citigroup for details regarding the amount of any Rollover Payment or Rollover Cashback amount.

Citigroup Reset Instalments (ASX Code xxxIOB_xxxIOC_xxxIOD )

ASX Code

ASX Code during deferred settlement trading period

Current Loan Amount

New Loan Amount

AGLIOB

AGLDOB

$3.50

$3.75

AGLIOD

AGLDOD

$5.25

$5.75

ALLIOB

ALLDOB

$24.50

$18.50

ALLIOD

ALLDOD

$38.00

$29.00

AMCIOB

AMCDOB

$9.00

$9.50

AMCIOD

AMCDOD

$13.50

$15.00

AMPIOB

AMPDOB

$0.60

$0.60

AMPIOC

AMPDOC

$0.70

$0.70

ANZIOB

ANZDOB

$14.7703

$12.50

ANZIOC

ANZDOC

$16.7703

$14.50

ASXIOB

ASXDOB

$44.00

$37.00

BENIOB

BENDOB

$5.00

$4.75

BENIOD

BENDOD

$8.00

$7.25

BHPIOB

BHPDOB

$14.7235

$20.00

BHPIOC

BHPDOC

$16.7235

$22.00

BLDIOB

BLDDOB

$3.50

$1.50

BOQIOB

BOQDOB

$5.00

$4.00

BOQIOC

BOQDOC

$5.50

$4.50

BXBIOB

BXBDOB

$5.50

$6.00

BXBIOC

BXBDOC

$6.00

$6.50

CBAIOB

CBADOB

$58.00

$54.00

CBAIOD

CBADOD

$89.00

$84.00

COHIOB

COHDOB

$114.00

$100.00

COHIOC

COHDOC

$125.00

$112.00

CPUIOB

CPUDOB

$10.00

$14.00

CSLIOB

CSLDOB

$147.00

$140.00

CSLIOC

CSLDOC

$167.00

$160.00

CSRIOB

CSRDOB

$3.00

$2.50

FMGIOB

FMGDOB

$8.00

$9.00

FMGIOD

FMGDOD

$12.50

$14.00

LLCIOD

LLCDOD

$9.50

$7.00

MQGIOB

MQGDOB

$95.00

$80.00

MQGIOC

MQGDOC

$105.00

$90.00

NABIOB

NABDOB

$15.50

$17.00

NABIOD

NABDOD

$24.00

$26.50

NCMIOB

NCMDOB

$12.00

$9.00

NCMIOC

NCMDOC

$14.00

$10.00

ORGIOB

ORGDOB

$2.75

$3.00

ORIIOB

ORIDOB

$8.00

$7.50

OZLIOB

OZLDOB

$12.50

$14.00

QANIOB

QANDOB

$3.00

$3.25

QBEIOB

QBEDOB

$6.50

$6.50

QBEIOD

QBEDOD

$10.00

$10.00

RIOIOB

RIODOB

$53.1395

$49.00

RIOIOC

RIODOC

$59.1395

$55.00

STOIOB

STODOB

$4.00

$4.25

SUNIOC

SUNDOC

$7.00

$6.00

TLSIOB

TLSDOB

$1.9699

$2.00

TLSIOD

TLSDOD

$3.2199

$3.25

WBCIOB

WBCDOB

$14.50

$13.00

WBCIOD

WBCDOD

$22.00

$20.00

WDSIOB

WDSDOB

$14.00

$18.00

WDSIOD

WDSDOD

$22.00

$28.00

WESIOB

WESDOB

$27.9942

$24.00

WESIOD

WESDOD

$43.9942

$38.00

WORIOB

WORDOB

$6.00

$7.25

WOWIOB

WOWDOB

$22.00

$18.50

WOWIOD

WOWDOD

$34.00

$28.50

 

For further details in relation to these amounts please refer to the Citigroup announcements regarding these Instalments or contact Citigroup on 1300 30 70 70

GENERAL FEATURES OF ROLLING INSTALMENTS

For the full terms of issue please refer to the Citigroup Supplementary PDS or the original PDS.

TREATMENT OF DIVIDENDS ANNOUNCED DURING DEFERRED SETTLEMENT TRADING

If any underlying stock commences trading on an ex-dividend basis during the deferred settlement period, the corresponding instalment will also commence trading on an ex-dividend basis at the same time. All instalment trades prior to the ex-dividend date that occur during deferred settlement trading, will be diary adjusted to ensure that those entitled to receive a dividend will receive the full benefit.

What do I need to do by when?

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Issued by

Peter Miller | Manager, Issuer Services Operations
 

Contact information

Serena Dang
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