CS 100% Protected Issuer Callable Growth + Fixed Inc USD Jan 2019

INVESTMENT DESCRIPTION

CURRENCY USD

STRIKE DATE 23/01/2019

ISIN XS1925440841

COUNTERPARTY Credit Suisse

TYPE Note

RETURN & BARRIERS
Fixed coupon rate of 0.133% monthly,
Callable coupon rate is 0.292% monthly (3.50% p.a.) starting at 12 months,
100% Participation at maturity
100% Capital Protected

MATURITY DATE
24/02/2020

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