Filed pursuant to Rule 433 Registration Statement No. 333-180300-03 October 6, 2014 |
Credit Suisse Structured
Product Offering List
Please find the summary of the indicative terms for our October brokerage and 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 concessions 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. Each of these summaries of the indicative terms for our October offerings is a general description
of the terms of such offering. Please see the applicable offering document at the links provided below.
FOR BROKER-DEALER USE ONLY. NOT FOR DISTRIBUTION. SUBJECT TO CHANGE.
Brokerage
Advisory