FWP 1 dfwp.htm AMENDED SUMMARY OF FINAL TERMS Amended Summary of Final Terms

Filed pursuant to Rule 433

Registration Nos. 333-157386 and 333-157386-01

This Amended Summary of Final Terms is being filed to correct the sections

“Rating of Issuer’s Obligations” and “Payment at Maturity”.

 

LOGO

  

Citigroup Funding Inc. (CFI)

Buffer Notes

Based upon the S&P 500 Index

Amended Summary of Final Terms

  

 

 

 

Issuer:    Citigroup Funding Inc. (CFI)
Rating of Issuer’s Obligations:   

As of the date hereof, senior debt securities of CFI, including the Buffer Notes, are rated A3/A (Moody’s / S&P) based upon a full and unconditional guarantee from its parent company, Citigroup Inc. These ratings are subject to change during the term of the Buffer Notes and are not recommendations to buy, sell or hold the Buffer Notes.

Offering:    Buffer Notes based upon the S&P 500 Index
Sole Manager:    Citigroup Global Markets Inc.
Offering Price:    $1,000 per unit
Units Issued:    18,000
Principal Amount:    $18,000,000
Pricing Date:    July 8, 2010
Settlement Date:    July 13, 2010
Valuation Date:    August 4, 2011
Maturity Date:    August 9, 2011
Underlying Index:    S&P 500 Index (“SPX”)
Coupon:    None.
Initial Index Value:    1,070.25, the closing value of the Underlying Index on the Pricing Date
Final Index Value:    The closing value of the Underlying Index on the Valuation Date
Buffer Amount:    10.00%
Index Return Percentage:    The Index Return Percentage will be computed as follows:
  

Final Index Value – Initial Index Value

Initial Index Value

Payment at Maturity:    For each $1,000 unit, $1,000 plus:
  

(a)    If the Index Return Percentage is positive, the product of (i) $1,000, and (ii) the Index Return Percentage provided that the payment at maturity cannot be greater than $1,280 or a maximum return of to 28% per each note.

  

(b)    If the Index Return Percentage is between 0% and –10.00%, zero

  

(c)    If the Index Return Percentage is less than –10.00%, the product of (i) $1,000 and (ii) the sum of the Index Return Percentage and the Buffer Amount, which will be negative.

Cusip/ISIN:    17314V122 / US17314V1228
Calculation Agent:    Citigroup Global Markets Inc.

Citigroup Funding Inc., the issuer, and Citigroup Inc., the guarantor, have filed a registration statement (including a prospectus supplement and prospectus) with the Securities and Exchange Commission (“SEC”) for the offering to which this communication relates. Before you invest, you should read the prospectus supplement and prospectus in that registration statement (File No. 333-157386) and the other documents Citigroup Funding and Citigroup Inc. have filed with the SEC for more complete information about Citigroup Funding, Citigroup Inc. and this offering. You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov. Alternatively, you can request the prospectus supplement and prospectus by calling toll-free 1-877-858-5407.

 

 


LOGO

  

Citigroup Funding Inc. (CFI)

Buffer Notes

Based upon the S&P 500 Index

Amended Summary of Final Terms

  

 

 

 

Business Days:    New York
Currency:    USD
Listing:    None
Settlement:    DTC, Euroclear, and Clearstream