CreditSuisseAG 3,5% 18/06/2025CreditSuisseAG 3,5% 18/06/2025CreditSuisseAG 3,5% 18/06/2025

CreditSuisseAG 3,5% 18/06/2025

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Key terms


Outstanding amount
0.00NOK
Face value
1,000,000.00NOK
Minimum denomination
1,000,000.00NOK
Coupon
3.50% (Fixed)
Coupon frequency
Annual
Yield to maturity
Maturity date
Jun 18, 2025
Term to maturity

About CreditSuisseAG 3,5% 18/06/2025


Issuer
Credit Suisse AG (London Branch)
Sector
Finance
Industry
Regional Banks
Issue date
Jun 18, 2015
ISIN
XS1249369429
FIGI
BBG009DL8TB5

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