New Issues - October 18, 2013

Dear Subscriber

We are pleased to send you the latest Structured Products open for subscription.*
Visit www.credit-suisse.com/derivatives for termsheets, factsheets and other product details.

Subscriptions can be placed with your Relationship Manager.

Your Credit Suisse Structured Products Team

Contact
Credit Suisse AG
Structured Products (ZUEF 1)
CH-8070 Zurich
Switzerland

Tel. +41 (0) 44 335 76 09 **
structured.products@credit-suisse.com
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). This document only outlines certain key features of the products. For additional information, please refer to the Issuer's documentation or your Relationship Manager.
Product in Focus
Instrument Name Underlying(s) Valor
ISIN
Ticker
CCY Subs End
# of days
Payment
Maturity
Tenor
Additional Information
Lookback Tracker Cert. NESN/ ROG/ NOVN/ ZURN Product in Focus
Credit Suisse product
Listed on Scoatch
Multi Underlyings 21496887
CH0214968874
LBTCCS
CHF 25.10.2013
7 days
01.11.2013
01.11.2016
3y 0m
Part: 100.00%
Products in Subscription

Participation - Bonus Certificates (1320)

Bonus Certificate Underlying(s) Valor
ISIN
Ticker
CCY Subs End
# of days
Payment
Maturity
Tenor
Additional Information
Capped Bonus Certificate Apple
Credit Suisse product
AAPL UQ 22593714
CH0225937140
CHF 31.10.2013
13 days
07.11.2013
07.05.2015
1y 6m
Barrier: 75.00%
Prot Lvl: 100.00%

Participation - Tracker Certificates (1300)

Tracker Certificate Underlying(s) Valor
ISIN
Ticker
CCY Subs End
# of days
Payment
Maturity
Tenor
Additional Information
Lookback Tracker Cert. NESN/ ROG/ NOVN/ ZURN Product in Focus
Credit Suisse product
Listed on Scoatch
Multi Underlyings 21496887
CH0214968874
LBTCCS
CHF 25.10.2013
7 days
01.11.2013
01.11.2016
3y 0m
Part: 100.00%

Yield Enhancement - Barrier Reverse Convertibles (1230)

Barrier Reverse Convertible Underlying(s) Valor
ISIN
Ticker
CCY Subs End
# of days
Payment
Maturity
Tenor
Additional Information
Autocallable BRC SMI/ EURO STOXX 50/ S&P 500/ Nikkei, 5.75% New
Credit Suisse product
Listed on Scoatch
Multi Underlyings 22367601
CH0223676013
CSENT
CHF 25.10.2013
7 days
01.11.2013
02.11.2015
2y 0m
Barrier: 59.00%
Cpn Fix: 5.75%
BRC Nestlé / Swatch / Roche, 8.00%
Credit Suisse product
Listed on Scoatch
NESN VX
ROG VX
UHR VX
20214758
CH0202147580
CSAVO
CHF 22.10.2013
4 days
25.10.2013
27.10.2014
1y 0m
Barrier: 75.00%
Cpn Fix: 8.00%
Deep BRC Multi-Indices, 3.00%
Credit Suisse product
Listed on Scoatch
Multi Underlyings 22367584
CH0223675841
CSENC
CHF 07.11.2013
20 days
14.11.2013
14.11.2016
3y 0m
Barrier: 40.00%
Cpn Fix: 3.00%
Deep BRC Multi Indices, 3.25%
Credit Suisse product
Listed on Scoatch
Multi Underlyings 22367585
CH0223675858
CSEND
EUR 07.11.2013
20 days
14.11.2013
14.11.2016
3y 0m
Barrier: 40.00%
Cpn Fix: 3.25%
Deep BRC Multi Indices, 3.80%
Credit Suisse product
Listed on Scoatch
Multi Underlyings 22367583
CH0223675833
CSENB
USD 07.11.2013
20 days
14.11.2013
14.11.2016
3y 0m
Barrier: 40.00%
Cpn Fix: 3.80%
Callable Barrier Reverse Convertible Underlying(s) Valor
ISIN
Ticker
CCY Subs End
# of days
Payment
Maturity
Tenor
Additional Information
Callable BRC Roche / Richemont / ABB, 9.25% p.a. New
Credit Suisse product
Listed on Scoatch
ABBN VX
CFR VX
ROG VX
22367599
CH0223675999
CSENR
CHF 25.10.2013
7 days
01.11.2013
04.05.2015
1y 6m 3d
Barrier: 69.00%
Cpn Fix: 9.25%
Callable BRC Clariant / Givaudan / Geberit, 8.00% p.a.
Credit Suisse product
Listed on Scoatch
CLN VX
GEBN VX
GIVN VX
22367590
CH0223675908
CSENI
CHF 18.10.2013
Today
25.10.2013
27.10.2014
1y 0m
Barrier: 69.00%
Cpn Fix: 8.00%
Callable BRC EURO STOXX 50, 4.00% p.a.
Credit Suisse product
Listed on Scoatch
SX5E 22367591
CH0223675916
CSENJ
EUR 18.10.2013
Today
25.10.2013
26.10.2015
2y 0m
Barrier: 55.00%
Cpn Fix: 4.00%
Callable BRC Barrick Gold/ Newmont Mining/ Goldcorp,12.50%pa
Credit Suisse product
Listed on Scoatch
ABX UN
GG UN
NEM UN
22367589
CH0223675890
CSENH
USD 18.10.2013
Today
28.10.2013
28.10.2014
1y 0m
Barrier: 50.00%
Cpn Fix: 12.50%
Callable BRC Novartis / Sanofi / Bayer, 9.00% p.a.
Credit Suisse product
Listed on Scoatch
BAYN GY
NOVN VX
SAN FP
22367593
CH0223675932
CSENL
CHF 22.10.2013
4 days
29.10.2013
29.04.2015
1y 6m
Barrier: 69.00%
Cpn Fix: 9.00%
Callable BRC Adidas / Allianz / Deutsche Telekom, 9.00% p.a.
Credit Suisse product
Listed on Scoatch
ADS GY
ALV GY
DTE GY
22367592
CH0223675924
CSENK
EUR 22.10.2013
4 days
29.10.2013
29.10.2014
1y 0m
Barrier: 69.00%
Cpn Fix: 9.00%
Callable BRC ABB / Richemont / Swiss Re, 8.00% p.a.
Credit Suisse product
Listed on Scoatch
ABBN VX
CFR VX
SREN VX
22367595
CH0223675957
CSENN
CHF 23.10.2013
5 days
30.10.2013
30.10.2014
1y 0m
Barrier: 69.00%
Cpn Fix: 8.00%
Callable BRC Holcim / Lonza / Syngenta, 10.00% p.a.
Credit Suisse product
Listed on Scoatch
HOLN VX
LONN VX
SYNN VX
22367594
CH0223675940
CSENM
CHF 23.10.2013
5 days
30.10.2013
30.10.2014
1y 0m
Barrier: 69.00%
Cpn Fix: 10.00%
Callable BRC Nestlé / Roche / Novartis, 8.00% p.a.
Credit Suisse product
Listed on Scoatch
NESN VX
NOVN VX
ROG VX
22367598
CH0223675981
CSENQ
CHF 24.10.2013
6 days
31.10.2013
30.04.2015
1y 5m
Barrier: 75.00%
Cpn Fix: 8.00%
Callable BRC Total / Sanofi / AXA, 8.50% p.a.
Credit Suisse product
Listed on Scoatch
CS FP
FP FP
SAN FP
22367596
CH0223675965
CSENO
EUR 24.10.2013
6 days
31.10.2013
31.10.2014
1y 0m
Barrier: 65.00%
Cpn Fix: 8.50%
Callable BRC Coca-Cola / PepsiCo / Mondelez, 8.50% p.a.
Credit Suisse product
Listed on Scoatch
KO UN
MDLZ UW
PEP UN
22367597
CH0223675973
CSENP
USD 24.10.2013
6 days
31.10.2013
30.04.2015
1y 5m
Barrier: 69.00%
Cpn Fix: 8.50%
Callable BRC WTI Crude Oil, 9.00%
Credit Suisse product
CL1 22284600
CH0222846005
USD 18.10.2013
Today
25.10.2013
27.10.2014
1y 0m
Barrier: 79.00%
Cpn Fix: 9.00%
Callable BRC Multi Indices, 6.90%
Credit Suisse product
Multi Underlyings 22367516
CH0223675163
CHF 06.11.2013
19 days
13.11.2013
13.05.2015
1y 6m
Barrier: 65.00%
Cpn Fix: 6.90%
Callable BRC Multi Indices, 7.30%
Credit Suisse product
Multi Underlyings 22367517
CH0223675171
USD 06.11.2013
19 days
13.11.2013
13.05.2015
1y 6m
Barrier: 65.00%
Cpn Fix: 7.30%
* Product information is indicative only, terms and conditions will be finalized on Initial Fixing Date or (for CLNs) on the Payment Date.
** We would like to draw your attention to the fact that telephone calls to our lines are recorded. When we receive your call, we assume that you accept this business practice.
Legend
CS Product issued by Credit Suisse
Scoach Product traded on Scoach
New New Product
Product in Focus Product in Focus
CCY: Currency
Bar High: High Barrier
Barrier: Low Barrier
Cap Lvl: Cap Level
Cpn Fix: Fixed Coupon
Cpn Max: Maximum Coupon
Cpn Min: Minimum Coupon
Lev: Leverage rate in percentage
Part: Participation rate in percentage
Prot Lvl: Protection level in percentage
Rep Val: Replacement value
Strike: Strike
Next Call: Next call date
SSPA Code: Product type according to the Swiss Structured Products Association (www.sspa-association.ch)

This message may contain confidential, proprietary or legally privileged information and is intended only for the use of the addressee named above. No confidentiality or privilege is waived or lost by any mistransmission. If you are not the intended recipient of this message you are hereby notified that you must not use, disseminate, copy it in any form or take any action in reliance on it. If you have received this message in error please delete it and any copies of it and notify the sender immediately. Credit Suisse Group AG and its subsidiaries reserve the right to intercept and monitor any email communication through its networks if legally allowed.

By entering into a transaction with the Issuer or any of its affiliates the investor acknowledges that having read and understood the following terms:

The Issuer is acting solely as an arm's length contractual counterparty and neither the Issuer nor any affiliate is acting as the financial adviser or fiduciary of the investor unless it has agreed to do so in writing.

This investment product is a complex structured derivative and involves a high degree of risk. It is intended only for investors who understand and are capable of assuming all risks involved. Before entering into any transaction, an investor should determine if this product suits his or her particular circumstances and should independently assess (with his or her professional advisers) the specific risks (maximum loss, currency risks, etc.) and the legal, regulatory, credit, tax and accounting consequences. The Issuer makes no representation as to the suitability or appropriateness of this investment product for any particular investor or as to the future performance of this investment product. Historical data on the performance of the investment product or the underlying assets is no indication of future performance. No representation or warranty is made that any indicative performance or return indicated will be achieved in the future. The information and views contained in this document are those of the Issuer and/or are derived from sources believed to be reliable. This document may however not replace a personal conversation with your relationship manager, which is recommended by Credit Suisse before the investment decision. Please ask your relationship manager to provide you with any available, additional information regarding this investment product such as the full terms or the simplified prospectus.

This document constitutes marketing material and is not the result of a financial analysis or research and therefore not subject to the "Directives on the Independence of Financial Research" (Swiss Bankers Association). The content of this document does therefore not fulfill the legal requirements for the independence of financial analyses and there is no restriction on trading prior to publication of financial research. Until the issue date the terms listed herein are indicative and may be amended. This document does not constitute an offer or invitation to enter into any type of financial transaction. The Issuer has no obligation to issue this investment product.

This document is not a simplified prospectus as stated in Art. 5 of the Swiss Federal Act on Collective Investment Schemes. This investment product does not constitute a participation in a collective investment scheme. Therefore, it is not supervised by the Swiss Financial Market Supervisory Authority (FINMA) and the investor does not benefit from the specific investor protection provided under the Federal Act on Collective Investment Schemes. The investment instrument'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. The prospectus requirements of Art. 652a / Art. 1156 of the Swiss Code of Obligations are not applicable.

Credit Suisse AG does not make any representation as to the accuracy or completeness of this document and assumes no liability for losses and tax implications arising from the use hereof.

In connection with this transaction, the Issuer and/or its affiliates may pay to third parties, or receive from third parties as part of their compensation one-time or recurring remunerations. In receiving payments by third parties the Issuer and/or its affiliates' interests may be adverse to those of the holders of this investment product and such activities and payments could therefore adversely affect the investors' return on the investment product. Detailed information on these payments or potential conflicts of interests can be found in the list "Remunerations" and in the Credit Suisse "Summary Conflicts Policy". Both documents and more details about these payments may be obtained upon request from your relationship manager.

Where not explicitly otherwise stated, the Issuer has no duty to invest in the underlying assets and investors have no recourse to the underlying assets or to any payouts on the underlying assets. The price of the investment product will reflect the customary fees and costs charged on the level of the underlying assets (e.g. index calculation fees, management fees, administration fees). Certain built-in costs are likely to adversely affect the value of the investment product prior to maturity.

The investment product may not be offered to the public in any jurisdiction in circumstances which would require the Issuer of the investment product to prepare or register any further prospectus or offering document relating to the investment product in such jurisdiction, in particular where the Issuer would be required to do so under the EU Directives 2003/71/EC and 2010/73/EU concerning prospectuses to be published when securities are offered to the public or admitted to trading in the European Economic Area (the "Prospectus Directives") or any legislative, regulation or other measure implementing the Prospectus Directives.

Neither this document nor any copy thereof may be sent, taken into or distributed in the United States or to any U. S. person (within the meaning of Regulation S under the US Securities Act of 1933, as amended) or in any other jurisdiction except under circumstances that will result in compliance with the applicable laws thereof. This document is issued solely for information purposes and for the recipient's sole use, and the document may not be reproduced either in whole or in part, without the written permission of Credit Suisse AG.

The underlying indices are registered trademarks and have been licensed for use. 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.

Some of the investment products 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. Investors should be willing and financially able to accept the risk characteristics of the investments described in this document.

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