Information for Debt Investors Low-Trigger Capital Instruments

Low-Trigger Capital Instruments

Listed below is information on Credit Suisse’s Low-Trigger Capital Instruments which have been issued.

Issuer

ISIN

Links

Type

CET1 trigger ratio

Currency

Nominal (millions)

Coupon rate

Issue date

Maturity date

Credit Suisse AG

US22546DAA46 (144A)
XS0957135212 (Reg S)

Information Memorandum

Tier 2

<5% or Viability Event

USD

2,500

6.50%

2013

08.08.2023

Credit Suisse Group AG

CH0221803791

Prospectus

Additional tier 1

<5.125% or Viability Event

CHF

290

6.00%

2013

No fixed or final redemption date

Credit Suisse AG

XS0972523947

Information Memorandum

Tier 2

<5% or Viability Event

EUR

1,250

5.75%

2013

18.09.2025

Credit Suisse Group AG

US22546DAB29 (144A)
XS0989394589 (Reg S)

Information Memorandum

Additional tier 1

<5.125% or Viability Event

USD

2,250

7.50%

2013

No fixed or final redemption date

Credit Suisse Group AG

US225436AA21 (144A)
XS1076957700 (Reg S)

Information Memorandum

Additional tier 1

<5.125% or Viability Event

USD

2,500

6.25%

2014

No fixed or final redemption date