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Low-Trigger Capital Instruments

Information on our Low-Trigger Capital Instruments which have been issued

Issuer Links ISIN Type CET1 trigger ratio Currency Nominal (millions) Coupon rate Issue date Maturity date
Credit Suisse AG Informatio Memorandum
US22546DAA46 (144A)
XS0957135212 (Reg S)
Tier 2
<5.0% or Viability Event USD
2,500
6.50%
2013 08.08.2023
Credit Suisse AG Information Memorandum
XS0972523947
Tier 2
<5.0% or Viability Event EUR 1,250
5.75%
2013 18.09.2025
Credit Suisse Group AG Information Memorandum
US22546DAB29 (144A)
XS0989394589 (Reg S)
Additional tier 1
<5.125% or Viability Event USD 2,250
7.50%
2013 No fixed or final redemption date
Credit Suisse Group AG Information Memorandum
US225436AA21 (144A)
XS1076957700 (Reg S)
Additional tier 1
<5.125% or Viability Event USD
2,500
6.25%
2014 No fixed or final redemption date