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ORB IEI YIELDS2 / Fact Sheet

The investors should read the product disclosure statement in full including the section on risks prior to investing in this product.

ORB International Enhanced Income is an offer to invest in YIELDS2, a hybrid security issued by Citigroup. Target annual income of 12% paid quarterly, growth potential from exposure to 30 of the largest companies in the world and 100% capital guaranteed1.

Key Factors

Product type A 'unitised contract' providing investors with exposure to the performance of the Income Plus Trading Strategy (IPTS) in conjunction with a Capital Guarantee.
Structure The offer is structured as a deferred purchase agreement between the investor and issuer whereby the Issuer agrees to deliver the Delivery Assets to investors on the maturity date thereby procuring the Capital Guarantee and the investment return to investors at maturity.
Security YIELDS2 - Yield Income Enhanced Listed Deferred Securities 2
Investment Units in YIELDS2
Issue price AUD $10.00 per unit
Issuer Citigroup Global Markets Australian Pty Limited (CGMA).
Distributor Investorlink Securities Limited (ISL)
Strategy Sponsor Citigroup Global Markets Limited
Issue date 6 December 2004

Minimum application

500 Units and then in multiples of 100 Units

Expiry Date

6 Years form Start Dare

Reference Index

Dow Jones Global Titans 50 Index ("DJGT")
Distribution fee (a) an upfront fee of 3.5% based on the Issue Price multiplied by the number of YIELDS2 subscribed for, payable by the Issuer; and
(b) a trailing fee of 1.25% per annum based on the Issue Price multiplied by the number of YIELDS2 subscribed for, payable by the Issuer and conditional on the allocation to the Income Plus Trading Strategy.

Adviser commissions

The Financial advisers may receive a placement fee and a trailing commission based on the Issue Price multiplied by the number of YIELDS2 subscribed for.
These fees are paid by the Distributor.

 

Key Features

Objectives To provide investors with the potential for high quarterly income payments, medium term capital growth and a Capital Guarantee on the initial investment.
Deferral Payment Amount2 Targeted at 12% per annum
Deferral Payment frequency

Quarterly in arrears

Income Plus Trading Strategy

Developed by Citigroup Global Markets Limited, it seeks to generate a potentially high level of income and capital growth by providing exposure to 30 shares that comprise the Reference Index.

Dynamic Portfolio This is designed to replicate an investment strategy that allocates investment exposure between two notional assets, namely the Income Plus Trading Strategy and the Bond Portfolio.
Capital Protection Value Investors are guaranteed by the Issuer that the value of each YIELDS2 Unit will be at least equal to the Issue Price on the Maturity Date.
ASX code YLDSO2

1 The capital guarantee only applies to YIELDS2 held until the Maturity Date and provided that no Early Maturity Events occur. The capital guarantee is also subject to the credit worthiness of the Guarantor.
2 The target income is only indicative and is not guaranteed. The figure of 12% per annum (net of fees) is a target income figure and not a target total return figure. This figure relates to the strategy and not to the returns achievable by any product linked to the strategy.

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