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Products in Subscription |
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We are pleased to send you below an overview of our structured products currently in subscription.
The Termsheets and additional product information can be accessed by visiting our webpage
www.credit-suisse.com/derivatives.
Please enter the respective valor number in order to find the products.
The subscriptions for products can be placed with the client advisor of your bank or directly via phone under +41 (0) 44 335 76 09 *.
Thank you very much for your confidence.
Sincerely yours
Your Structured Products Team
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Structured Products do not constitute a participation in a collective investment scheme within the
meaning of the Swiss Federal Act on Collective Investment Schemes (CISA) and are therefore not subject
to authorization and supervision by the Swiss Financial Market Supervisory Authority (FINMA). Investors
are not protected by CISA.
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New Products in Subscription |
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Description |
SSPA Code |
Issuer |
Underlying |
Ccy |
Issue Price |
Coupon/ Max Yld |
Barrier |
Feature |
Maturity |
Valor |
End of Subscription |

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8.50% p.a. on Unilever / Danone / Carrefour |
1230 |
Credit Suisse AG, Nassau Branch |
Unilever / Danone / Carrefour |
EUR |
100% |
8.5% |
59% |
Callable |
21.11.2014 (1.5yrs) |
19152896 |
14.05.2013 (8 days left) |

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10.00% p.a. on Nestlé / Swatch / Credit Suisse Group |
1230 |
Credit Suisse AG, Nassau Branch |
Nestlé / Swatch / Credit Suisse Group |
CHF |
100% |
10% |
63% |
Callable |
21.11.2014 (1.5yrs) |
19152897 |
14.05.2013 (8 days left) |
Other Products in Subscription |
|
Description |
SSPA Code |
Issuer |
Underlying |
Ccy |
Issue Price |
Coupon/ Max Yld |
Barrier |
Feature |
Maturity |
Valor |
End of Subscription |

|
Stability Note EURO STOXX 50, 2.20% |
1299 |
Credit Suisse International, London |
EURO STOXX 50® |
CHF |
100% |
2.2% |
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23.05.2014 (1yr) |
20681334 |
16.05.2013 (10 days left) |

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Stability Note EURO STOXX 50, 2.55% |
1299 |
Credit Suisse International, London |
EURO STOXX 50® |
EUR |
100% |
2.55% |
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23.05.2014 (1yr) |
20681335 |
16.05.2013 (10 days left) |

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6.50% p.a. on SMI / EURO STOXX 50® / Nikkei 225 / S&P 500® |
1230 |
Credit Suisse AG, London Branch |
SMI / EURO STOXX 50® / Nikkei 225 / S&P 500® |
CHF |
100% |
6.5% |
65% |
Callable |
24.11.2014 (1.5yrs) |
20889115 |
15.05.2013 (9 days left) |

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6.60% p.a. on SMI / EURO STOXX 50® / Nikkei 225 / S&P 500® |
1230 |
Credit Suisse AG, London Branch |
SMI / EURO STOXX 50® / Nikkei 225 / S&P 500® |
EUR |
100% |
6.6% |
65% |
Callable |
24.11.2014 (1.5yrs) |
20889117 |
15.05.2013 (9 days left) |

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7.50% p.a. on SMI / EURO STOXX 50® / Nikkei 225 / S&P 500® |
1230 |
Credit Suisse AG, London Branch |
SMI / EURO STOXX 50® / Nikkei 225 / S&P 500® |
USD |
100% |
7.5% |
65% |
Callable |
24.11.2014 (1.5yrs) |
20889116 |
15.05.2013 (9 days left) |

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8.00% on Siemens / SAP / Volkswagen |
1230 |
Credit Suisse AG, London Branch |
Siemens / SAP / Volkswagen |
EUR |
100% |
8% |
69% |
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15.05.2014 (1yr) |
20214691 |
10.05.2013 (4 days left) |

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7.50% p.a. on ABB / Swatch / Roche |
1230 |
Credit Suisse AG, London Branch |
ABB / Swatch / Roche |
CHF |
100% |
7.5% |
69% |
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17.11.2014 (1.5yrs) |
20214690 |
10.05.2013 (4 days left) |

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8.00% p.a. on Coca-Cola / McDonald's / Starbucks |
1230 |
Credit Suisse AG, Nassau Branch |
Coca-Cola / McDonald's / Starbucks |
USD |
100% |
8% |
65% |
Callable |
17.11.2014 (1.5yrs) |
19152893 |
08.05.2013 (2 days left) |

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5.00% p.a. on Multi Indices |
1230 |
Credit Suisse AG, Nassau Branch |
EURO STOXX 50® / Nikkei 225 / S&P 500® / SMI |
CHF |
100% |
5% |
50% |
Callable |
15.05.2015 (2yrs) |
19152891 |
08.05.2013 (2 days left) |

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6.25% p.a. on Nestlé / Roche / Novartis |
1230 |
Credit Suisse AG, Nassau Branch |
Nestlé / Roche / Novartis |
CHF |
100% |
6.25% |
75% |
Callable |
17.11.2014 (1.5yrs) |
19152894 |
08.05.2013 (2 days left) |

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6.25% p.a. on Asian Indices |
1230 |
Credit Suisse AG, Nassau Branch |
Hang Seng / MSCI Singapore Free / MSCI Taiwan |
USD |
100% |
6.25% |
60% |
Callable |
16.05.2016 (3yrs) |
21044608 |
08.05.2013 (2 days left) |

|
4.00% p.a. on Multi Indices |
1230 |
Credit Suisse AG, Nassau Branch |
EURO STOXX 50® / S&P 500® / SMI |
CHF |
100% |
4% |
50% |
Callable |
15.05.2015 (2yrs) |
19152895 |
08.05.2013 (2 days left) |

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8.50% p.a. on BRIC Indices |
1230 |
Credit Suisse International, London |
MSCI Brazil / Russian Depositary / DBIX India / Hang Seng China Enterprises |
USD |
100% |
8.5% |
55% |
Callable |
15.05.2015 (2yrs) |
20681331 |
07.05.2013 (1 day left) |

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7.25% p.a. on S&P 500® / EURO STOXX 50® / FTSE® / Nikkei 225 |
1230 |
Credit Suisse AG, Nassau Branch |
S&P 500® / EURO STOXX 50® / FTSE® / Nikkei 225 |
GBP |
100% |
7.25% |
60% |
Callable |
14.05.2015 (2yrs) |
14558898 |
07.05.2013 (1 day left) |

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8.75% p.a. on Syngenta / Holcim / Lonza |
1230 |
Credit Suisse AG, London Branch |
Syngenta / Holcim / Lonza |
CHF |
100% |
8.75% |
69% |
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13.11.2014 (1.5yrs) |
20214689 |
07.05.2013 (1 day left) |

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8.50% p.a. on ABB / Richemont / Swiss Re |
1230 |
Credit Suisse AG, Nassau Branch |
ABB / Richemont / Swiss Re |
CHF |
100% |
8.5% |
65% |
Callable |
13.11.2014 (1.5yrs) |
19152892 |
06.05.2013 (today) |

|
10.00% on Clariant / Sonova / Straumann |
1230 |
Credit Suisse AG, London Branch |
Clariant / Sonova / Straumann |
CHF |
100% |
10% |
69% |
|
12.05.2014 (1yr) |
20214688 |
06.05.2013 (today) |
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Description |
SSPA Code |
Issuer |
Underlying |
Ccy |
Issue Price |
Part. |
Bonus Level |
Barrier |
Maturity |
Valor |
End of Subscription |

|
Drop-Back Certificate S&P 500 |
1399 |
Credit Suisse AG, Nassau Branch |
Standard & Poor's 500® Index |
USD |
1000.00 |
|
|
|
20.05.2016 (3yrs) |
21044614 |
15.05.2013 (9 days left) |

|
Drop-Back Certificate SMI |
1399 |
Credit Suisse AG, Nassau Branch |
SMI |
CHF |
1000.00 |
|
|
|
20.05.2016 (3yrs) |
21044612 |
15.05.2013 (9 days left) |

|
Best-of Bonus Certificate Multi Indices |
1320 |
Credit Suisse AG, Nassau Branch |
EURO STOXX 50® / Nikkei 225 / S&P 500® / SMI |
CHF |
1000.00 |
100% |
|
75% |
21.05.2015 (2yrs) |
21044617 |
10.05.2013 (4 days left) |

|
Outperformance Bonus Certificate Asian Indices |
1330 |
Credit Suisse AG, Nassau Branch |
Hang Seng Index / MSCI Singapore Free / MSCI Taiwan |
USD |
1000.00 |
200% |
100% |
60% |
16.05.2016 (3yrs) |
21044609 |
08.05.2013 (2 days left) |
All terms and conditions mentioned in this document are indicative only and will be confirmed or adjusted on the Initial Fixing Date.
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Legend |
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Product issued by Credit Suisse |
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Product added to the list today
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Ccy: |
Currency in which the product is traded |
Coupon / Max Yld: |
Interest paid p.a. / maximum yield achievable for products issued at a discount |
Feature: |
Specific product charateristics |
Max Cpn: |
maximum interest achievable per observation period |
Part.: |
Percentage participation in the performance of the Underlying |
Prot. Level: |
Minimum redemption amount paid by the Issuer |
SSPA-Code: |
Product Category according to Swiss Structured Products Association (http://www.svsp-verband.ch) |
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This document does not constitute an offer or a recommendation to buy or sell financial instruments or
banking services; the relevant terms and conditions are described in the sales prospectus and summarized
in the simplified prospectus in accordance with CISA. We recommend to request prior to an investment
decision the complete product information, especially with respect to product specific risks, prices and
fees or charges. The product information can be obtained free of charge under the telephone number mentioned
herein. The prospectus requirements of Art. 652a / Art. 1156 of the Swiss Code of Obligations are not applicable.
Structured products are suitable only for investors who understand how they work and, in particular, the
associated risks, and who are able to bear their financial consequences. Investors are exposed to issuer
risk. The structured product's retention of value is dependent not only on the development of the value
of the underlying asset, but also on the creditworthiness of the Issuer, which may change over the term
of the structured product.
These structured products may include investments in indices:
The underlying indices are registered trademarks and have been licensed for use (SIX Swiss Exchange as
licensor for Swiss Market Index (SMI)®; McGraw-Hill Companies Inc. as licensor for S&P 500® Index;
STOXX Limited Zurich as licensor for EURO STOXX 50® Index; Nikkei Inc. as licensor for Nikkei 225®
Index; Deutsche Börse AG as licensor for DAX® Index and Euronext Paris S.A. as licensor for CAC 40® Index).
The indices are compiled and calculated solely by licensors and the licensors shall have no liability
with respect thereto. The products based on the indices are in no way sponsored, endorsed, sold or
promoted by the licensors.
These structured products may include investments in Emerging Markets:
Emerging Markets are located in countries that possess one or more of the following characteristics:
A certain degree of political instability, relatively unpredictable financial markets and economic growth
patterns, a financial market that is still at the development stage or a weak economy. Emerging markets
investments usually result in higher risks such as political risks, economical risks, credit risks,
exchange rate risks, market liquidity risks, legal risks, settlement risks, market risks, shareholder
risk and creditor risk.
These structured products may include investments in commodities:
Commodity investments are subject to greater fluctuations in value than normal investments and may lead to
additional investment risks.
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Copyright © 2013 Credit Suisse Group AG and/or its affiliates. All rights reserved.
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