Announcements

    Drinks

      Name ISIN Issuer Rating type Instrument rating Maturity date Coupon Coupon type Volume Currency
      CSGN 0.121 12/15/17 FRN MTN XS1079975808 CREDIT SUISSE AG Public WD 15/12/2017 0.436% Floating: Fixed Margin over Index 1,500,008,734 EUR
      CSGN 0.242 12/03/15 MTN MATd CH0245473431 CREDIT SUISSE AG Public WD 03/12/2015 0.242% Floating: Fixed Margin over Index 400,009,201 CHF
      CSGN 0.750 07/11/19 MTN CH0248259456 CREDIT SUISSE AG Public WD 11/07/2019 0.75% Fixed:Plain Vanilla Fixed Coupon 350,009,484 CHF
      CSGN 2.375 06/21/17 MTN MATd CH0113987033 CREDIT SUISSE AG Public WD 21/06/2017 2.375% Fixed:Plain Vanilla Fixed Coupon 425,005,067 CHF
      CSGN 5.750 09/18/25 '20 FRN XS0972523947 CREDIT SUISSE AG Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      CSGN 6.500 08/08/23 XS0957135212 CREDIT SUISSE AG Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden