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Citigroup Inc. Announces The Extension Of The Early Tender Date, The Price Determination Date And The Expiration Date

The following table sets forth the Notes that are subject to the Offers as well as the aggregate principal amounts of Notes that were validly tendered and not validly withdrawn prior to the previously announced Early Tender Date:

Fixed Spread Offers                                    
 

Title of Security

CUSIP / ISIN

Exchange Listing

Principal Amount Outstanding

Maximum Series Tender Cap

Reference U.S.

Treasury Security

Bloomberg Reference page

Fixed Spread (basis points)

Early Tender

Premium (1)

Aggregate Principal Amount Tendered as of 5:00 p.m., New York City time, December 5, 2012

 
6.500% Senior Notes due 2013 172967EU1 / US172967EU16 Luxembourg Stock Exchange $2,612,299,000 $125,000,000 0.250% Treasury due 10/31/2014 FIT1 35 $30.00 $393,315,000
 
6.000% Senior Notes due 2013 172967FE6 / US172967FE64 Luxembourg Stock Exchange $1,805,000,000 $100,000,000 0.250% Treasury due 10/31/2014 FIT1 45 $30.00 $273,014,000
 
5.125% Senior Notes due 2014 172967CK5 / US172967CK51 Luxembourg Stock Exchange $1,565,000,000 $150,000,000 0.250% Treasury due 10/31/2014 FIT1 65 $30.00 $219,871,000
 
5.500% Senior Notes due 2014 172967EZ0 / US172967EZ03 Luxembourg Stock Exchange $1,952,000,000 $25,000,000 0.250% Treasury due 10/31/2014 FIT1 105 $30.00 $78,843,000
 
6.010% Senior Notes due 2015 172967FA4 / US172967FA43 Luxembourg Stock Exchange $1,718,491,000 $25,000,000 0.375% Treasury due 11/15/2015 FIT1 100 $30.00 $224,616,000
 
4.750% Senior Notes due 2015 172967FD8 / US172967FD81 Luxembourg Stock Exchange $2,365,809,000 $25,000,000 0.375% Treasury due 11/15/2015 FIT1 105 $30.00 $178,451,000
 
4.700% Senior Notes due 2015 172967CY5 / US172967CY55 Luxembourg Stock Exchange $724,000,000 $10,000,000 0.375% Treasury due 11/15/2015 FIT1 105 $30.00 $41,472,000
 
4.587% Senior Notes due 2015 172967FH9/ US172967FH95 Luxembourg Stock Exchange $1,830,000,000 $25,000,000 0.375% Treasury due 11/15/2015 FIT1 115 $30.00 $143,315,000
 
5.300% Senior Notes due 2016 172967DE8 / US172967DE82 Luxembourg Stock Exchange $961,376,000 $25,000,000 0.750% Treasury due 10/31/2017 FIT1 90 $30 $106,870,000

Fixed Price

Offers

                           
Title of Security CUSIP / ISIN Exchange Listing Principal Amount Outstanding Maximum Series Tender Cap

Total

Consideration (1)

Tender Offer

Consideration (1)

Early Tender

Premium (1)

   

Aggregate Principal Amount Tendered

as of 5:00 p.m., New York City time,

December 5, 2012

 
Floating Rate Senior Notes due 2013 172967FG1 / US172967FG13 Luxembourg Stock Exchange $1,392,685,000 $150,000,000 $1,011.25 $981.25 $30.00 $79,056,000
 
Floating Rate Senior Notes due January 2014 172967FL0 / US172967FL08 Luxembourg Stock Exchange $979,913,000 $150,000,000 $1,012.50 $982.50 $30 $36,621,000
 
Floating Rate Senior Notes due April 2014 172967FQ9 / US172967FQ94 Luxembourg Stock Exchange $530,000,000 $100,000,000 $1,007.50 $977.50 $30 $152,532,000

(1) Expressed in U.S. dollars per $1,000 principal amount of the Notes. We will also pay accrued and unpaid interest to, but not including, the Settlement Date. The Early Tender Premium is included in the Total Consideration.

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