ISIN

XS1902118436

Issuer name

CREDIT SUISSE INTERNATIONAL

Description of securities

MEDIUM TERM NOTES USD S.SPCSI2018-3039/PUT/VAR RED

Currency

Nominal value

0.00

Duration

Issuer domicile

United Kingdom

Issue Terms governing law

National Securities ID number

CFI

DTZNCR

Exchange listing

Exchange ticker symbol

Dealer / Paying Agent

Clearstream Banking S.A., Euroclear Bank S.A./N.V.

Trustee / Guardian

Issuer website

Misc. info

State

Deleted