CITIGROUP INC. And CITIBANK, N.A. As Fiscal Agent, Registrar, Transfer Agent and Exchange Agent AGENCY AGREEMENT A$600,000,000 Floating Rate Notes due August 7, 2019 Dated as of August 7, 2015Agency Agreement • August 7th, 2015 • Citigroup Inc • National commercial banks
Contract Type FiledAugust 7th, 2015 Company IndustryWHEREAS pursuant to the Terms Agreement dated July 28, 2015, that incorporates by reference the underwriting agreement basic provisions dated March 2, 2006 (together, the “Underwriting Agreement”) between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its A$600,000,000 Floating Rate Notes due August 7, 2019 (the “Notes”); and
TERMS AGREEMENTTerms Agreement • August 7th, 2015 • Citigroup Inc • National commercial banks
Contract Type FiledAugust 7th, 2015 Company Industry
ContractGlobal Security Note • August 7th, 2015 • Citigroup Inc • National commercial banks
Contract Type FiledAugust 7th, 2015 Company IndustryThis Note is a Global Security within the meaning of the Indenture hereinafter referred to and is registered in the name of the Depository named below or a nominee of the Depository. This Note is not exchangeable for Notes registered in the name of a Person other than the Depository or its nominee except in the limited circumstances described herein and in the Indenture, and no transfer of this Note (other than a transfer of this Note as a whole by the Depository to a nominee of the Depository or by a nominee of the Depository to the Depository or another nominee of the Depository) may be registered except in the limited circumstances described herein.