Monday, 05 Dec 2016 09:27

CréditSuisseInt 8,5% 01/08/2018

XS0090030619

TypeBond, Fixed rate
ISIN codeXS0090030619
Trading codeXS0090030619
Listing07/09/1998
Final maturity01/08/2018
Amount issued2 582 284.4954 EUR
Redemption price100%
Issuer(s)CREDIT SUISSE INTERNATIONAL
 One Cabot Square LONDON E14 4QJ UNITED KINGDOM
 UNITED KINGDOM

No documents available for this security.
Please contact us at +352 47 79 36 221
Close on 07/09/1998100 i %
Month Low-
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