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    Drinks

      Name ISIN Issuer Rating type Instrument rating Maturity date Coupon Coupon type Volume Currency
      CSGN 0.121 06/18/18 FRN MTN XS1247516088 CREDIT SUISSE AG (LONDON BRANCH) Public WD 18/06/2018 0.436% Floating: Fixed Margin over Index 1,000,004,101 EUR
      CSGN 0.121 10/16/19 FRN MTN XS1121919333 CREDIT SUISSE AG (LONDON BRANCH) Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      CSGN 0.132 11/10/17 MTN MATd XS1319598188 CREDIT SUISSE AG (LONDON BRANCH) Public WD 10/11/2017 - Floating: Fixed Margin over Index 1,500,003,024 EUR
      CSGN 0.375 04/11/19 MTN XS1392459209 CREDIT SUISSE AG (LONDON BRANCH) Public WD 11/04/2019 0.375% Fixed:Plain Vanilla Fixed Coupon 1,250,001,299 EUR
      CSGN 0.500 03/29/18 MTN XS1211053225 CREDIT SUISSE AG (LONDON BRANCH) Public WD 29/03/2018 0.5% Fixed:Plain Vanilla Fixed Coupon 1,000,003,389 EUR
      CSGN 0.625 11/20/18 MTN XS1140476604 CREDIT SUISSE AG (LONDON BRANCH) Public WD 20/11/2018 0.625% Fixed:Plain Vanilla Fixed Coupon 1,500,009,216 EUR
      CSGN 1.125 09/15/20 MTN XS1291175161 CREDIT SUISSE AG (LONDON BRANCH) Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      CSGN 1.375 01/31/22 MTN XS1115479559 CREDIT SUISSE AG (LONDON BRANCH) Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      CSGN 1.375 11/29/19 MTN XS1074053130 CREDIT SUISSE AG (LONDON BRANCH) Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      CSGN 3.875 01/25/17 MTN MATd XS0480903466 CREDIT SUISSE AG (LONDON BRANCH) Public WD 25/01/2017 3.875% Fixed:Plain Vanilla Fixed Coupon 2,250,005,870 EUR