Change of trading for bond loan issued by Credit Suisse AG, London Branch on STO Structured Products (211/17)


Trading lot will be changed for the bond loan issued by Credit Suisse AG, London Branch. The change will be valid as from March 28, 2017. 

ISIN code: SE0007897277
Trading code: CSI_GTM_2608


The change is marked in bold in the attached document.

For further information concerning this exchange notice, please contact Elin Nygren or Niklas Ramstedt, telephone +46 8 405 60 00 or iss@nasdaq.com.


Attachments

170328_CSI GTM 2608_New trading lot_54817.xlsx