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Any indicative pricing levels, disclosure materials, valuations and other analysis published on the Hong Kong Website have been prepared on assumptions and parameters that reflect our good faith determinations. The assumptions and parameters used are not the only ones which could have reasonably been selected, and accordingly, no guarantee is given in respect of the accuracy, reasonableness or completeness of such quotations, disclosure or analysis. No representation or warranty is made that any indicative return or performance will be achieved in the future. Such information does not constitute investment advice by the Website Owner and are for information purposes only.
The Structured Products are non-collateralised product. If the Issuer becomes insolvent or defaults, you may not recover part or all of the amount due.If you invest in the Structured Products, you are relying on the creditworthiness of the Issuer. The price of the Structured Products may fall in value as rapidly as it may rise and investors may sustain a total loss of their investment. It is not possible to predict whether the secondary market for the Structured Products will be liquid or illiquid. Citigroup Global Markets Asia Limited may be the only liquidity provider for the Structured Products. Any opinions, forecasts or estimates herein constitute a judgment as of the date the information is published, and there is no assurance that future results or events will be consistent with any such opinions, forecasts or estimates. You are cautioned that actual results may differ materially from those set forth in any forward-looking statements. Past performance is also not indicative of future results.
Callable bull/bear contracts (“CBBCs”) have a mandatory call feature. Subject to the terms and conditions of CBBCs as set out in the Base Listing Document (including any addendum thereto), CBBCs will be automatically terminated when the spot price / spot level of the underlying asset reaches the call price / call level during the observation period, in which case, you will not receive any cash payment (for category N CBBCs) or may receive a cash payment called the residual value (for category R CBBCs).
Prospective investors should therefore ensure that they understand the nature and risks of the Structured Products and should, where applicable, consult their own legal, tax, accounting, financial and other professional advisers to ensure that any decision to invest in the Structured Products is suitable with regard to such investor’s specific circumstances and financial position. Citigroup assumes no fiduciary responsibility or liability for any consequences, financial or otherwise, arising from the subscription or purchase of the Structured Products.
In respect of each issue of the Structured Products, you should carefully review and understand the terms and conditions of the Structured Products, together with the financial and other information of the Issuer, as set out in the Base Listing Document (including any addendum thereto), and the relevant Supplemental Listing Document. These documents may be obtained from the office of the Sponsor, Citigroup Global Markets Asia Limited, at 50th Floor, Champion Tower, Three Garden Road, Central, Hong Kong.
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These terms and conditions are exclusively governed by and shall be construed in accordance with the laws of Hong Kong. Each user is subject to the exclusive jurisdiction of the courts of Hong Kong in respect of any disputes arising hereunder.
恒指今周於18000點水平附近橫行多日後,今天(27日)顯著向下暫跌近400點,暫見近兩個月低位,即市資金積極部署花旗牛證,投資者選擇亦較為進取,資金集中部署收回價約17400-17500點的牛證。 投資者如看好恒指,或可留意恒指牛56478,收回價17400點,槓桿比率52 倍,也可留意收回距離較遠的牛證56237,收回價17201點,槓桿比率34.8 倍;如看淡,或可留意恒指熊62394,收回價18336點,槓桿比率25.4 倍。
小米(1810)顯著回調接近8%,向下試探4月下旬的小型上升裂口,即市資金流入好倉部署反彈。 投資者如看好小米,或可留意小米購21593,行使價19.82元,實際槓桿6.8 倍,換股比率10 兌 1,2024年12月24日到期;如看淡,或可留意小米沽24655,行使價15.16元,實際槓桿7.5 倍,換股比率10 兌 1,2024年09月27日到期。
平保(2318)近期呈區間窄幅上落,今天隨大市回調,股價位處近期區間底部約100天綫位置。 投資者如看好平保,或可留意平保購25802,行使價41.05元,實際槓桿9.8 倍,換股比率10 兌 1,2024年09月20日到期;如看淡,或可留意平保沽24929,行使價29.95元,實際槓桿9.6 倍,換股比率10 兌 1,2024年10月14日到期。