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Restrictions on sale
The sale of securities in the area of application of the German Federal Republic and other legal systems may be subject to restrictions. Please consult the relevant prospectus for further information on any additional restrictions.
Securities described on this website are neither available to natural persons or legal entities who or which are domiciled in territories in which this would be in contravention of applicable laws or other legal regulations, nor are prospectuses or other documentation drawn up for marketing purposes issued to them. The securities described here are in particular not registered in accordance with the United States Securities Act 1933 and may therefore neither be offered nor sold in the United States of America. The content of this website is not directed towards persons who are domiciled in the United Kingdom. The products and services described on this website are not made accessible in the United Kingdom.
Risk factors
The securities presented here are mainly high risk investments, which are subject to the general market risks such as the interest risk, exchange rate risk, political risks, company law risks and the current value.
Price fluctuations in the corresponding subscription items influence the value of the securities.
Exchange rate fluctuations of relevant currencies influence the value of the securities.
Security prices are volatile. If the basic value moves contrary to the anticipated direction, losses in connection with the security may be proportionately greater than losses in connection with the basic value.
The securities presented here generally have a limited term and may expire without value; investors should therefore reckon with losses to the amount of the original purchase price (and the transaction fees thus incurred).
Trading and safeguarding
The market for the securities presented here may under certain circumstances be restricted, which may have negative effects on their value and/or the possibility of their sale.
Investors should not rely on being able to sell the securities at a certain time or for a certain sum.
It may happen that investors are unable to safeguard the risks associated with this type of investment. Investors may incur both losses within the framework of any hedging transactions as well as losses in connection with the securities.
Neither the issuer nor a company affiliated with the issuer will give assurances or provide guarantees as regards the performance of the securities, or commit to market making or to repurchase the securities.
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No offer / Exclusively for information purposes
The contents of this website are solely for information purposes.
The contents of this website represent neither an offer nor an invitation for purchase or sale of the securities described on this website, nor for participation in one of the investment strategies referred to, nor are they part of such an offer or invitation, nor should they be regarded as such an offer or invitation.
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Taking out loans for the purpose of a purchase
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Issuer / Major holdings / Disclosure of holdings
Please note that not all the securities of Citigroup Global Markets Europe AG or its affiliated companies presented here have been issued and that recourse against the issuers may be limited. You will find further information on this in the brochure concerned.
We would like to point out that Citigroup Global Markets Europe AG or other subsidiary companies of Citigroup Inc. (together "Citigroup") act as market makers for securities which are purchased by investors, or for similar or connected securities, or that they may act on their own account. Citigroup may have a business relationship with the issuers of securities which are purchased by investors, or with issuers of similar or associated securities, and in this context receives confidential information relating to the securities. We would also point out that Citigroup may enter into its own positions in connection with such securities, e. g. hedging transactions, which may have a negative effect on the market price, rate, index or other factors in relation to the securities purchased by the investor and therefore also on the value of these securities.
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  Horaires de négociation et de désactivation

Voici les horaires habituels de négociation et de désactivation des produits CitiFirst. La liquidité est assurée sur les produits CitiFirst dans des conditions normales de marché et de fonctionnement informatique. Veuillez noter que les cotations peuvent être interrompues par l’émetteur, à tout moment, par exemple dans le cas de problèmes techniques.À l' occasion des changements d'heure biannuels (heure d'hiver et d'été) des modifications temporaires peuvent survenir, ainsi que le 24 et le 31 décembre.

  • Les jours d’ouverture de la bourse et les horaires de cotation sur NYSE Euronext sont communiqués sur le site internet de NYSE Euronext. Les modifications exceptionnelles (notamment le 24 et le 31 décembre) sont publiées par avis, auquel cas l’horaire de clôture sur NYSE Euronext du marché des warrants et certificats précède généralement de 5 minutes la fermeture du marché action de NYSE Euronext Paris.
  • Les warrants émis par Citi sont cotés sur NYSE-Euronext Paris jusqu’à la veille de leur échéance à la clôture. Les Turbos émis par Citi sont généralement cotés sur NYSE-Euronext Paris jusqu’à la date de leur échéance. Cependant les horaires de négociation peuvent être modifiés le jour de l’échéance du Turbo si le cours de clôture du sous-jacent est déterminé avant la clôture habituelle de la séance sur NYSE Euronext Paris : ainsi les Turbos sur l’or cessent de coter à 16h00 le jour de leur maturité.
  • Un Turbo sur l’indice CAC 40 ® peut être désactivé entre 9h00 et 17h35. Un Turbo sur une valeur cotant sur une autre place que NYSE Euronext Paris peut être désactivé en dehors des heures du marché français. Par exemple, l’indice Dow Jones cote entre 15h30 et 22h00, les Turbos sur Dow Jones peuvent donc être désactivés après 17h35 jusqu'à 22h00.
  • Mêmes conditions d’animation de marché que sur la bourse de 9h00 à 17h30, conditions en proportion de la liquidité disponible sur le sous-jacent de 8h à 9h et entre 17h30 et 22h. Les cotations peuvent être momentannément interrompues avant le fixing d'ouverture et après le fixing de clôture sur le marché action.
     Horaires de cotation     Horaires de désactivation Horaires limite de négociation le jour de l'échéance  
Sous-jacent  Ouverture Clôture NYSE Euronext Clôture Direct Emetteur et Accès Emetteurs    à partir de jusqu'à Sur NYSE Euronext Sur Direct Emetteur et Accès Emetteurs  
Indices Européens 08:00 18:30 22:00   09:00  17:35 17:30 17:30  
Indices Américains 08:00 18:30 22:00
  15:30  22:00 18:30 22:00  
Indices Asiatiques 08:00 18:30 22:00

  02:00 - 04:00  05:20 - 08:00 
18:30 (j-1) 22:00 (j-1)
EUR/USD 08:00 18:30 22:00
 24h sur 24 - 7j/7  
12:00 12:00  
Matières premières    
Or / Argent 08:00 18:30 22:00
                 24h sur 24 - 7j/7
16:00 16:00  
Future Brent 08:00 18:30 22:00 24h sur 24 - 7j/7 18:30 20:00
Actions Zone Euro 08:00 18:30 22:00   09:00   17:35 17:30 17:30  
Exception : Nokia    
      17:30 17:25 17:25  
Actions Américaines 08:00 18:30 22:00
  15:30   22:00 18:30



Pour plus d'informations sur les conditions de cotation des produits CitiFirst il est recommandé de consulter les conditions définitives et le prospectus de base correspondant. Ces documents sont disponibles gratuitement auprès de Citigroup Global Markets Europe AG, Reuterweg 16, 60323 Frankfurt am Main et également sur chaque page produit de ce site Internet.