Preliminary Terms This summary of terms is not complete and should be read with the pricing supplement below Citigroup Global Markets Holdings Inc. Issuer: Citigroup Inc. Guarantor: The Nasdaq - 100 Futures 35% Edge Volatility 6% Decrement Index ER (ticker: N3V6EDGE) Underlying: August 13, 2026 Pricing date: Monthly Valuation dates: August 18, 2036 Final valuation date: August 21, 2036 Maturity date: Approximately at least 14.65% per annum*, paid monthly... (continue reading...)
Filed Pursuant to Rule 424(b)(2)
Registration Statement No. 333-284538
$3,880,000
The Goldman Sachs Group, Inc.
Callable Fixed Rate Notes due 2029
We will pay you interest on your notes at a rate of 4.825% per annum from and including the original issue date (July 31, 2026) to but excluding the stated maturity date (July 16, 2029). Interest will be paid on each interest payment date (the last calendar day of July... (continue reading...)
http://archive.fast-edgar.com/20260731/AQBZS22C8Z2232ZZ2RZV2CZZ7O8JZ2Q2ZV8G
Filed on: July 31, 2026
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