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      Name ISIN Issuer Rating type Instrument rating Maturity date Coupon Coupon type Volume Currency
      9% CHF 2.5bn Tier 1 Buffer Capital Notes Contingent convertible securities on 7% trigger CREDIT SUISSE GROUP (GUERNSEY) II LTD Public WD - 9% Floating: Fixed then Floating 2,500,002,440 CHF
      9.5% USD 1.72bn Tier 1 Buffer Capital Notes Contingent convertible securities on 7% trigger CREDIT SUISSE GROUP (GUERNSEY) II LTD Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      CNGN 9.500 Perp '18 FRN XS0810846617 CREDIT SUISSE GROUP (GUERNSEY) II LTD Public WD - 9.5% Floating: Fixed then Floating 1,725,006,912 USD