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International bonds: Credit Suisse (London Branch), 0% 17apr2045, USD (10958D) (XS1193720205)

StatusCountry of riskMaturity (option)
Amount i
This field shows outstanding face value amount for outstanding bonds
Issue ratings (M/S&P/F)
early redeemedSwitzerland**/**/****280,000,000 USD***/***/***
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Yield calculation

 %
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Issue information

BorrowerCredit Suisse (London Branch)
Bond typeZero-coupon bonds
Placement methodOpen subscription
Placement typePublic
Par amount, integral multiple1,000,000 USD
Nominal of international bonds1,000,000 USD
Minimum settlement amount1,000,000 USD
Outstanding principal amount0 USD
Amount280,000,000 USD
Placement date**/**/****
Maturity date**/**/****
Redemption price100%
Early redemption date04/17/2020
Floating rateNo
Coupon Rate*%
Current coupon rate0%
Day count fraction***
Interest accrual date**/**/****
ListingLuxembourg S.E.

Related issues

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Cbonds Valuation
i
Indicative bond and international bond quotes by Cbonds are calculated based on the methodology. The end result of the methodology is a single end-of-day Cbonds quote, which is based on bid and ask data of various trading floors and contributors working with this asset.
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Bond classification

Subordinated
Sinkable bond
Perpetual
Convertible
Structured product
Restructuring
Securitization
Mortgage bonds
Trace-eligible
Covered
Foreign bonds
CDO
Sukuk
Retail bonds
Supranational bond issues
Green bonds
Non-Marketable Securities

Identifiers

ISIN / ISIN RegSXS1193720205
Common Code / Common Code RegS119372020
CFI / CFI RegSDTZNGB
FIGI / FIGI RegSBBG008F7FSS2
WKN / WKN RegSA1Z6AQ
TickerCS 0 04/17/45 EMTN

Primary placement

Issuer rating on issue date (M/S&P/F)***/***/***
Placement**/**/****
Initial issue price (yield)**.****% (*.*%)
Settlement Duration**.**

Participants

Bookrunner: Credit Suisse

Payment schedule

*****

Coupon dateCoupon, %Coupon payment amount, USDRedemption of principal, USD
Show previous
1**/**/*******,***,***
Show following
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Early redemption terms

*****

DateOption typePrice
Show previous
**/**/****call**.*
**/**/****call**.**
**/**/****call**.**
Show following
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Issue ratings

Credit Suisse (London Branch), 0% 17apr2045, USD (10958D)

Rating AgencyRating / OutlookScaleDate
Moody's Investors Service ***/***LT- foreign currency04/20/2020
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Issuer ratings

Credit Suisse (London Branch)

Rating AgencyRating / OutlookScaleDate
Moody's Investors Service ***/***LT- foreign currency12/02/2019
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