TERMS SHEET
This terms sheet contains selected information for quick reference only. You should read
this Supplement, particularly "Risk Factors," and each of the other documents listed under
"Available Information."
Sponsor:
Citigroup Global Markets Inc.
Trustee:
Wells Fargo Bank, N.A.
Tax Administrator:
The Trustee
Closing Date:
June 28, 2007
Distribution Dates:
For the Group 1, Group 2, Group 4 and Group 5 Securities, the 16th day
of each month or, if the 16th day is not a Business Day, the first Business Day thereafter,
commencing in July 2007. For the Group 3 Securities, the 20th day of each month or, if the 20th
day is not a Business Day, the first Business Day thereafter, commencing in July 2007.
Trust Assets:
Trust
Asset
Group
Trust Asset Type
Certificate Rate
Original Term
To Maturity
(in years)
1
Ginnie Mae I
6.0%
30
2
Ginnie Mae I
6.0%
30
3
Ginnie Mae II
6.0%
30
4
Ginnie Mae I
6.0%
30
5
Ginnie Mae I
6.0%
30
Security Groups: This series of Securities consists of multiple Security Groups (each, a
"Group"), as shown on the front cover of this Supplement and on Schedule I to this
Supplement. Payments on each Group will be based solely on payments on the Trust Asset
Group with the same numerical designation.
B-3