CITIGROUP INC. And CITIBANK, N.A. As Fiscal Agent, Registrar, Calculation Agent and Exchange Agent And DEXIA BANQUE INTERNATIONALE À LUXEMBOURG, SOCIÉTÉ ANONYME As Paying Agent and Transfer AgentAgency Agreement • December 21st, 2007 • Citigroup Inc • National commercial banks
Contract Type FiledDecember 21st, 2007 Company IndustryWHEREAS pursuant to the Terms Agreement dated December 4, 2007 (the “Underwriting Agreement”) between the Issuer and the Underwriter named therein, the Issuer has agreed to issue its Yen 100,000,000,000 Floating Rate Notes due December 2012 (the “Notes”); and
CITIGROUP INC. And CITIBANK, N.A. As Fiscal Agent, Registrar, Calculation Agent and Exchange Agent And DEXIA BANQUE INTERNATIONALE À LUXEMBOURG, SOCIÉTÉ ANONYME As Paying Agent and Transfer AgentAgency Agreement • September 18th, 2007 • Citigroup Inc • National commercial banks
Contract Type FiledSeptember 18th, 2007 Company IndustryWHEREAS pursuant to the Terms Agreement dated September 5, 2007 (the “Underwriting Agreement”) between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its Yen 250,000,000,000 Floating Rate Notes due September 2012 (the “Notes”); and
CITIGROUP INC. And CITIBANK, N.A. As Fiscal Agent, Registrar and Exchange Agent And DEXIA BANQUE INTERNATIONALE À LUXEMBOURG, SOCIÉTÉ ANONYME As Paying Agent and Transfer AgentAgency Agreement • June 29th, 2007 • Citigroup Inc • National commercial banks
Contract Type FiledJune 29th, 2007 Company IndustryWHEREAS pursuant to the Terms Agreement dated June 15, 2007 (the “Underwriting Agreement”) between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its Yen 50,000,000,000 2.80% Notes due June 2027, Yen 55,000,000,000 3.00% Notes due June 2037 and Yen 40,000,000,000 3.10% Notes due June 2047 (each a “Series” and, collectively, the “Notes”); and