Tuesday, 28 Mar 2017 18:31

CreditSuisseAG ZCN 22/10/2019

XS1123537125

TypeBond, Structured product
ISIN codeXS1123537125
Trading codeXS1123537125
Listing22/10/2014
Final maturity22/10/2019
Amount issued32 631 868.312 USD
ProgrammeProgramme for the issue of Underlying-linked Securities
Redemption price-
Issuer(s)CREDIT SUISSE AG
 Paradeplatz 8 CH-8001 ZÜRICH
 SWITZERLAND
Final terms (Pricing supplement)11/12/2014
Final terms (Pricing supplement)22/10/2014
Document incorporé par référence14/08/2014
Document incorporé par référence14/08/2014
Document incorporé par référence14/08/2014

 156 additionnal documents...

Close on 06/01/20173.685 i USD
Month Low-
Month High-
Year Low3.622
Year High3.685

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