0000891092-13-006735.txt : 20130802 0000891092-13-006735.hdr.sgml : 20130802 20130801174015 ACCESSION NUMBER: 0000891092-13-006735 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 4 FILED AS OF DATE: 20130802 DATE AS OF CHANGE: 20130801 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: CREDIT SUISSE AG CENTRAL INDEX KEY: 0001053092 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 000000000 STATE OF INCORPORATION: V8 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP SEC ACT: 1934 Act SEC FILE NUMBER: 333-180300-03 FILM NUMBER: 131003762 BUSINESS ADDRESS: STREET 1: PARADEPLATZ 8 CITY: ZURICH STATE: V8 ZIP: 8001 BUSINESS PHONE: 01141 44 333 1111 MAIL ADDRESS: STREET 1: P.O. BOX 1 CITY: ZURICH STATE: V8 ZIP: 8070 FORMER COMPANY: FORMER CONFORMED NAME: CREDIT SUISSE / /FI DATE OF NAME CHANGE: 20050607 FORMER COMPANY: FORMER CONFORMED NAME: CREDIT SUISSE FIRST BOSTON / /FI DATE OF NAME CHANGE: 19980115 FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: CREDIT SUISSE AG CENTRAL INDEX KEY: 0001053092 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 000000000 STATE OF INCORPORATION: V8 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP BUSINESS ADDRESS: STREET 1: PARADEPLATZ 8 CITY: ZURICH STATE: V8 ZIP: 8001 BUSINESS PHONE: 01141 44 333 1111 MAIL ADDRESS: STREET 1: P.O. BOX 1 CITY: ZURICH STATE: V8 ZIP: 8070 FORMER COMPANY: FORMER CONFORMED NAME: CREDIT SUISSE / /FI DATE OF NAME CHANGE: 20050607 FORMER COMPANY: FORMER CONFORMED NAME: CREDIT SUISSE FIRST BOSTON / /FI DATE OF NAME CHANGE: 19980115 FWP 1 e54891fwp.htm STRUCTURED PRODUCT OFFERING LIST

Filed pursuant to Rule 433

Registration Statement No. 333-180300-03

August 1, 2013

 

August 2013 Advisory

 

Credit Suisse Structured Product Offering List

 

Please find the indicative terms for our August advisory offerings below. All terms, including but not limited to coupon rate, participation rate, knock-in level, buffer amount, automatic redemption premium and fixed payment percentage, as applicable, are subject to change and will be determined on the Trade Date.* Additionally, dates listed below are expected dates, which are subject to change due to market conditions. The sales commissions listed may only represent a portion of the total underwriting discounts and fees for an offering. Capitalized terms used herein shall have the meaning given to them in the applicable offering documents. Any payment on the securities is subject to Credit Suisse’s ability to pay its obligations as they become due. For more information, please see the applicable offering document at the links provided below.

 

FOR BROKER-DEALER USE ONLY. NOT FOR DISTRIBUTION. SUBJECT TO CHANGE.

 

Yield Alternatives

 

 

2 Year SPX RTY High/Low Coupon Callable Yield Notes
Unless the securities are redeemed earlier, the investor is entitled to receive a coupon expected to be between [7.00% -9.00%]* per annum if a Knock-In Event does not occur. If a Knock-In Event occurs during any Observation Period, the coupon for the corresponding interest period and each subsequent interest period is expected to be 1.00%* per annum. Subject to Early Redemption, if a Knock-In Event occurs, the redemption amount at maturity will equal the principal amount of the securities held multiplied by the sum of one plus the performance of the Lowest Performing Underlying. If a Knock-In Event does not occur, the redemption amount will equal the principal amount of the securities held.
CUSIP

Coupon*

(per annum)

Underlying(s)

Knock-In

Level*

Sales Concession Preliminary Pricing Supplement Fact Sheet Trade Date Settlement Date Maturity Date
22547Q6L5

•[7.00%-9.00%] p.a. if no Knock-In Event

•Otherwise, 1.00% p.a. for remainder of term

Lowest Performing of:

S&P 500® Index and Russell 2000® Index

Approximately

65.0% of Initial Level

n/a 8/30/13 9/4/13 9/4/15

 

 

 

18 Month GDX USO High/Low Coupon Callable Yield Notes
Unless the securities are redeemed earlier, the investor is entitled to receive a coupon expected to be between [9.00%-11.00%]* per annum if a Knock-In Event does not occur. If a Knock-In Event occurs during any Observation Period, the coupon for the corresponding interest period and each subsequent interest period is expected to be 1.00%* per annum. Subject to Early Redemption, if a Knock-In Event occurs, the redemption amount at maturity will equal the principal amount of the securities held multiplied by the sum of one plus the performance of the Lowest Performing Underlying. If a Knock-In Event does not occur, the redemption amount will equal the principal amount of the securities held.
CUSIP

Coupon*

(per annum)

Underlying(s)

Knock-In

Level*

Sales Concession Preliminary Pricing Supplement Fact Sheet

Trade

Date

Settlement Date Maturity Date
22547Q6M3

•[9.00%-11.00%] p.a. if no Knock-In Event

•Otherwise, 1.00% p.a. for remainder of term

Lowest Performing of:

Market Vectors Gold Miners ETF & United States Oil Fund, LP

Approximately

50.0% of Initial Level

n/a 8/30/13 9/4/13 3/4/15

 

 
 

FOR BROKER-DEALER USE ONLY. NOT FOR DISTRIBUTION. SUBJECT TO CHANGE.

 

Equity-Linked Alternatives

18 Month GDX Buffered Accelerated Return Equity Securities
If the Final Level is equal to or greater than the Initial Level, the investor is entitled to receive a payment at maturity based on a Fixed Payment Percentage that is expected to be between [30.0% - 32.0%]*. If the Final Level is less than the Initial Level by more than the Buffer Amount the redemption amount will equal the principal amount of the securities held multiplied by the sum of one plus the (i) performance of the Underlying plus (ii) the Buffer Amount. If the Final Level is less than the Initial Level by not more than the Buffer Amount, the redemption amount will be the principal amount of the securities held.
CUSIP

Return Profile

(at maturity)*

Underlying(s) Buffer Amount Sales Concession Preliminary Pricing Supplement Fact Sheet

Trade

Date

Settlement Date Maturity Date
22547Q6F8

If Final Level > Initial Level, a positive return based on a Fixed Payment Percentage of [30.0%-32.0%]*.

• If Final Level < Initial Level by not more than the Buffer Amount, then the principal amount.

• If Final Level < Initial Level by more than the Buffer Amount, then a negative return corresponding to the depreciation of the Underlying + the Buffer Amount.

Market Vectors Gold Miners ETF 10.0% n/a 8/30/13 9/5/13 3/5/15

 

2 Year EFA EEM Buffered Accelerated Return Equity Securities
If the Final Level of the Lowest Performing Underlying is equal to or greater than its Initial Level, the investor is entitled to receive a payment at maturity based on a Fixed Payment Percentage that is expected to be between [20.0% - 22.0%]*. If the Final Level of the Lowest Performing Underlying is less than its Initial Level by more than the Buffer Amount the redemption amount will equal the principal amount of the securities held multiplied by the sum of one plus the (i) performance of the Lowest Performing Underlying plus (ii) the Buffer Amount. If the Final Level of the Lowest Performing Underlying is less than its Initial Level by not more than the Buffer Amount, the redemption amount will be the principal amount of the securities held.
CUSIP

Return Profile

(at maturity)*

Underlying(s) Buffer Amount Sales Concession Preliminary Pricing Supplement Fact Sheet

Trade

Date

Settlement Date Maturity Date
22547Q6J0

If Final Level > Initial Level of Lowest Performing Underlying, a positive return based on a Fixed Payment Percentage of [20.0%-22.0%]*.

• If Final Level < Initial Level of Lowest Performing Underlying by not more than the Buffer Amount, then the principal amount.

• If Final Level < Initial Level of Lowest Performing Underlying by more than the Buffer Amount, then a negative return corresponding to the depreciation of the Lowest Performing Underlying + the Buffer Amount.

Lowest Performing of:

iShares®

MSCI EAFE® ETF & iShares® MSCI Emerging Markets ETF

10.0% n/a 8/30/13 9/4/13 9/4/15

 

 
 

FOR BROKER-DEALER USE ONLY. NOT FOR DISTRIBUTION. SUBJECT TO CHANGE.

 

4 Year SPX RTY Cert Plus Securities
If the Final Level of the Lowest Performing Underlying is equal to or greater than its Initial Level, the investor is entitled to receive a payment at maturity based on the percentage change from the Initial Level to the Final Level of the Lowest Performing Underlying times [135.0-140.0]%. If the Final Level of the Lowest Performing Underlying is less than its Initial Level, and a Knock-In Event occurs, the redemption amount will equal the principal amount of the securities held multiplied by the sum of one plus the performance of the Lowest Performing Underlying. If the Final Level of the Lowest Performing Underlying is less than its Initial Level, and a Knock-In Event has not occurred, the redemption amount will be the principal amount of the securities held.
CUSIP

Return Profile

(at maturity)*

Underlying(s)

Knock-In

Level*

Sales Concession Preliminary Pricing Supplement Fact Sheet

Trade

Date

Settlement Date Maturity Date
22547Q6K7

If Final Level > Initial Level of Lowest Performing Underlying, then a positive return based on the uncapped percentage change from the Initial Level to the Final Level of the Lowest Performing Underlying multiplied by [135.0-140.0]*%.

• If Final Level < Initial Level of Lowest Performing Underlying and no Knock-In Event occurs, then the principal amount.

• If Final Level < Initial Level of Lowest Performing Underlying and Knock-In Event occurs, then negative return corresponding to the depreciation of the Lowest Performing Underlying.

Lowest Performing of:

S&P 500®

Index & Russell 2000® Index

Approximately

50.00% of Initial Level

n/a 8/30/13 9/4/13 9/5/17

 

 

 

 

* The actual coupon rate, participation rate, knock-in level, buffer amount, automatic redemption premium or fixed payment percentage, as applicable, to be determined on the Trade Date.

 

Credit Suisse AG (“Credit Suisse”) has filed a registration statement (including a prospectus supplement and prospectus) with the Securities and Exchange Commission, or SEC, with respect to the offerings to which this Structured Product Offering List relates. Before you invest, you should read the applicable Preliminary Pricing Supplement, the applicable Underlying Supplement, the applicable Product Supplement, the Prospectus Supplement and the Prospectus, to understand fully the terms of each offering of securities and other considerations that are important in making a decision about investing in any of the securities. You may get these documents without cost by visiting EDGAR on the SEC Web site at www.sec.gov. Alternatively, Credit Suisse or any agent or any dealer participating in the applicable offering will arrange to send you the applicable Preliminary Pricing Supplement, Underlying Supplement, Product Supplement, Prospectus Supplement and Prospectus if you request by calling toll-free 1-(800)-221-1035.

 

 

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