July 12, 2017 | Cbonds
Credit Suisse issued bonds for EUR 1,500.0m maturing in 2025 with a 1.25% from 17.07.2017 to 17.07.2024, then 1Y EUR Swap rate + 0.75% coupon. Bonds were sold at a price of 99.356%. Bookrunner: Credit Suisse.
Emission: Credit Suisse, 1.25% 17jul2025, EUR
|Status||Country of risk||Redemption (offer)||Volume||Emission Rating (M/S&P/F)|
Company: Credit Suisse
|Full company name||Credit Suisse AG|
|Country of risk||Switzerland|
|Country of registration||Switzerland|