424B2 1 dd273.txt CFI 2 YEAR FLOATER Filed pursuant to Rule 424(b)(2) Registration Statement Nos. 333-132370 and 333-132370-01 CALCULATION OF REGISTRATION FEE Class of securities offered Medium-Term Senior Notes, Series D Aggregate offering price $ 500,000,000.00 Amount of registration fee $ 19,850.00(1) (1) The filing fee of $19,850 is calculated in accordance with Rule 457(r) of the Securities Act of 1933.The $63,959.88 remaining of the filing fee previously paid on April 14, 2008 is being carried forward, of which $19,850.00 is offset against the registration fee due for this offering and of which $44,109.88 remains available for future registration fees. No additional registration fee has been paid with respect to this offering. Pricing Supplement No. MTNDD273- Dated May 7, 2008 (To Prospectus Supplement Dated April 13, 2006 and Prospectus Dated March 10, 2006) Citigroup Funding Inc. Medium-Term Senior Notes, Series D Payments Due from Citigroup Funding Inc. Fully and Unconditionally Guaranteed by Citigroup Inc. CITIGROUP FUNDING INC. Principal Amount or Face Amount: $ 500,000,000.00 Issue Price: 100.00% Proceeds to Company on original issuance: $ 499,375,000.00 Commission: $ 625,000.00 Agents' capacity on original issuance: Citigroup Global Markets Inc.: $ 498,000,000 SBK Brooks Investment: $ 1,000,000 Apex Pryor Securities, a Division of Rice Financial Loop Capital Markets, LLC: $ 1,000,000 Citigroup Global Markets Inc.'s capacity on original issuance: As Principal If as Principal |x| The Registered Notes are being offered at varying prices related to prevailing market prices at the time of resale. | | The Registered Notes are being offered at a fixed initial public offering price 100% of Principal Amount or Face Amount. Form of Note: Global Original Issue Date: May 12, 2008 Stated Maturity: May 12, 2010 Specified Currency: (If other than U.S. Dollars) Authorized Denominations: Minimum USD 1,000 and minimum (If other than as set forth increments of USD 1,000 thereafter in the Prospectus Supplement) Interest Payment Dates: The 12th of every Month (Modified following New York and London business day convention applies) First Interest Payment Date: June 12, 2008 Accrue to Pay: Yes Indexed Principal Note: Type of Interest on Note: Floating Rate Interest Rate (Fixed Rate Notes): N/A Base Rate (Floating Rate Notes): LIBOR Calculation Agent: Citibank Computation of Interest: Actual over 360 (If other than as set forth in the Prospectus Supplement) Interest Reset Dates: Monthly on each interest payment date. Rate Determination Dates: 2 London business days prior. (If other than as set forth in the Prospectus Supplement) Index: 1-month USD BBA LIBOR Spread: 112 bps Computation of Interest: (If other than as set forth in the Prospectus Supplement) Spread Multiplier: Change in Spread, Spread Multiplier or Fixed Interest Rate prior to Stated Maturity: Maximum Interest Rate: Minimum Interest Rate: Calculation Agent: Citibank, N.A. Amortizing Note: No Renewable Note: No Optional Extension of Maturity: No Optional Redemption: No Optional Redemption Dates: Redemption Prices: Redemption: Optional Repayment: No Optional Repayment Dates: Optional Repayment Prices: Discount Note: No Total Amount of OID: Bond Yield to Call: Bond Yield to Maturity: Yield to Maturity: Cusip: 1730T0FW4