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Issuer/Programme
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Structured Products Programme for the issuance of Notes, Certificates and Warrants - Credit Suisse AG
Debt and Derivative Issuance Programme
Securities
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S - SPLB2015-18 USD 25000000 Credit-Linked Notes linked to the Republic of Italy, due March 2025
SPLB 2015-229 USD 9,100,000 Credit-Linked Notes linked to Noble Group Limited, due June 2025
SPLB2015-424 EUR 30,000,000 Credit-Linked Notes linked to the French Republic due December 2030
SPLB2015-522 USD 20,000,000 Notes linked to the 2-Year USD CMS Rate and the 10-Year USD CMS Rate, due August 2030
SPLB2016-107 EUR 100,000,000 Notes linked to the 30-Year EUR CMS Rate, the 10-Year EUR CMS Rate and the 5-Year EUR CMS Rate, due February 2031
SPLB2016-145 EUR 7,500,000 Credit-Linked Notes linked to the Republic of Italy due December 2030
SPLB2016-502 EUR 80,000,000 Notes linked to the 30-Year EUR CMS Rate, the 10-Year EUR CMS Rate and the 5-Year EUR CMS Rate, due April 2031
Series SPLB2015-036 Issue of EUR 50000000 Yield Securities due 06 February 2031
Series SPLB2015-060 Issue of EUR 25000000 Yield Securities due 11 February 2025
Series SPLB2015-096 Issue of EUR 50000000 Callable Securities due 13 February 2045
Series SPLB2015-112 235000000 Credit-Linked Notes linked to French Republic, due March 2030
Series SPLB2015-279 Issue of EUR 15000000 Yield Securities due 06 May 2030
Series SPLB2015-288 Issue of EUR 50000000 Callable Securities due 30 April 2035
Series SPLB2015-441 Issue of EUR 2,000,000 Yield Securities due 19 June 2030
Series SPLB2015-448 Issue of EUR 35,000,000 Yield Securities due 29 June 2025
Series SPLB2015-618 Issue of EUR 25,000,000 Callable Securities due 2 October 2035
Series SPLB2015-727 Issue of EUR 30000000 pursuant to the Put and Call Securities Base Prospectus due 05 November 2035
Series SPLB2015-877 Issue of 53450000 Callable securities due November 27, 2045
Series SPLB2016-048 Issue of EUR 50,000,000 Put and Call Securities due 22 January 2036
Series SPLB2016-049 Issue of EUR 39,750,000 Put and Call Securities due 26 January 2046
Series SPLB2016-086 Issue of EUR 50000000 Callable Securities due 05th February 2036
Series SPLB2016-163 Issue of EUR 10,000,000 Yield Securities due 25 February 2031
Series SPLB2016-224 Issue of EUR 20000000 Yield Securities due 09th March 2028
Series SPLB2016-457 Issue of 25000000 Callable Securities due 15th April 2036
Series SPLB2016-464 Issue of 25000000 Callable Securities due 15th April 2036.
Series SPLB2016-520 Issue of 27000000 Callable Securities due 15th April 2036
Series SPLB2016-650 Issue of USD 50,000,000 Callable Yield Securities, due 06 June 2046
Series SPLB2016-703 Issue of EUR 25,000,000 Callable Yield Securities due 01 July 2036
Series SPLB2016-954 JPY 3000000000 Credit Linked Notes linked to the Kingdom of Belgium due December 2031
Series SPLB2016-1065 Issue of JPY 14,000,000,000 Securities due 25 October 2031
USD 30,000,000 Credit Linked Notes linked to French Republic due June 2031
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Structured Products Programme for the issuance of Notes, Certificates and Warrants - Credit Suisse AG
Debt and Derivative Issuance Programme
SECURITIES
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S - SPLB2015-18 USD 25000000 Credit-Linked Notes linked to the Republic of Italy, due March 2025
SPLB 2015-229 USD 9,100,000 Credit-Linked Notes linked to Noble Group Limited, due June 2025
SPLB2015-424 EUR 30,000,000 Credit-Linked Notes linked to the French Republic due December 2030
SPLB2015-522 USD 20,000,000 Notes linked to the 2-Year USD CMS Rate and the 10-Year USD CMS Rate, due August 2030
SPLB2016-107 EUR 100,000,000 Notes linked to the 30-Year EUR CMS Rate, the 10-Year EUR CMS Rate and the 5-Year EUR CMS Rate, due February 2031
SPLB2016-145 EUR 7,500,000 Credit-Linked Notes linked to the Republic of Italy due December 2030
SPLB2016-502 EUR 80,000,000 Notes linked to the 30-Year EUR CMS Rate, the 10-Year EUR CMS Rate and the 5-Year EUR CMS Rate, due April 2031
Series SPLB2015-036 Issue of EUR 50000000 Yield Securities due 06 February 2031
Series SPLB2015-060 Issue of EUR 25000000 Yield Securities due 11 February 2025
Series SPLB2015-096 Issue of EUR 50000000 Callable Securities due 13 February 2045
Series SPLB2015-112 235000000 Credit-Linked Notes linked to French Republic, due March 2030
Series SPLB2015-279 Issue of EUR 15000000 Yield Securities due 06 May 2030
Series SPLB2015-288 Issue of EUR 50000000 Callable Securities due 30 April 2035
Series SPLB2015-441 Issue of EUR 2,000,000 Yield Securities due 19 June 2030
Series SPLB2015-448 Issue of EUR 35,000,000 Yield Securities due 29 June 2025
Series SPLB2015-618 Issue of EUR 25,000,000 Callable Securities due 2 October 2035
Series SPLB2015-727 Issue of EUR 30000000 pursuant to the Put and Call Securities Base Prospectus due 05 November 2035
Series SPLB2015-877 Issue of 53450000 Callable securities due November 27, 2045
Series SPLB2016-048 Issue of EUR 50,000,000 Put and Call Securities due 22 January 2036
Series SPLB2016-049 Issue of EUR 39,750,000 Put and Call Securities due 26 January 2046
Series SPLB2016-086 Issue of EUR 50000000 Callable Securities due 05th February 2036
Series SPLB2016-163 Issue of EUR 10,000,000 Yield Securities due 25 February 2031
Series SPLB2016-224 Issue of EUR 20000000 Yield Securities due 09th March 2028
Series SPLB2016-457 Issue of 25000000 Callable Securities due 15th April 2036
Series SPLB2016-464 Issue of 25000000 Callable Securities due 15th April 2036.
Series SPLB2016-520 Issue of 27000000 Callable Securities due 15th April 2036
Series SPLB2016-650 Issue of USD 50,000,000 Callable Yield Securities, due 06 June 2046
Series SPLB2016-703 Issue of EUR 25,000,000 Callable Yield Securities due 01 July 2036
Series SPLB2016-954 JPY 3000000000 Credit Linked Notes linked to the Kingdom of Belgium due December 2031
Series SPLB2016-1065 Issue of JPY 14,000,000,000 Securities due 25 October 2031
USD 30,000,000 Credit Linked Notes linked to French Republic due June 2031
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