0000891092-17-005796.txt : 20170810 0000891092-17-005796.hdr.sgml : 20170810 20170810154656 ACCESSION NUMBER: 0000891092-17-005796 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 3 FILED AS OF DATE: 20170810 DATE AS OF CHANGE: 20170810 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: 333-218604-02 FILM NUMBER: 171021365 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 e75260fwp.htm LPL BLAST e75260fwp.htm - Generated by SEC Publisher for SEC Filing

Filed Pursuant to Rule 433
Registration Statement No. 333-218604-2
August 10, 2017




Please find the summary of the indicative terms for our August offerings below. All terms, including but not limited to contingent coupon rate, upside 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 August offerings is a general description of the terms of such offering. Please see the applicable offering document at the links provided below. Investing in the notes involves a number of risks. See "Selective Risk Considerations" herein and "Selected Risk Considerations" in the applicable offering documents.

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

BROKERAGE OFFERINGS
Product Description CUSIP Trade
Date
Offering
Closes
 Maturity
Date
Sales
Conc-
ession
Fact
Sheet
Prelim.
Pricing
Supp. 
INCOME/CASH FLOW ALTERNATIVES
1.25Y RTY SX5E Contingent Coupon Autocallable Yield Notes 75% American barrier, [7.00-9.00]% p.a. coupon paid monthly (subject to automatic redemption), 1% loss of principal for every 1% decline in the lowest performing underlying beyond the initial level if a knock- in event occurs 22550BDV2 8/28/17 8/25/17
4PM
EST
11/30/18 1.50%
U2203

U2203
1.5Y SPX RTY Contingent Coupon Autocallable Yield Notes 75% American barrier, [5.25-7.25]% p.a. coupon paid monthly (subject to automatic redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BEJ8 8/28/17 8/28/17
11AM
EST
2/28/19 1.50%
U2215

U2215
1Y XBI Contingent Coupon Autocallable Yield Notes 70% American barrier, [8.00-10.00]% p.a. coupon paid monthly (subject to automatic redemption), 1% loss of principal for every 1% decline in the underlying beyond the initial level if a knock-in event occurs 22550BEK5 8/28/17 8/28/17
11AM
EST
8/31/18 1.50%
U2216

U2216
2.5Y XOP XBI Contingent Coupon Autocallable Yield Notes 50% American barrier, [9.00-11.00]% p.a. coupon paid quarterly (subject to automatic redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BDT7 8/28/17 8/28/17
11AM
EST
2/28/20 1.75%
U2202

U2202
5Y SPX RTY Contingent Coupon Callable Yield Notes 60% European barrier [5.00-5.50]% p.a. contingent coupon paid monthly (subject to issuer’s early redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BDX8 8/28/17 8/28/17
11AM
EST
8/31/22 3.00%
U2204

U2204 
GROWTH ALTERNATIVES
13M SPX RTY Buffered Accelerated Return Equity Securities 10% buffer, 150% upside participation rate to a maximum return of [9.00- 11.00]%, 1% loss of principal for every 1% decline in the lowest performing underlying beyond the buffer 22550BDS9 8/28/17 8/28/17
11AM
EST
10/3/18 1.50%
K867

K867 
2Y SPX Buffered Accelerated Return Equity Securities 10% buffer, 200% upside participation rate to a maximum return of [11.50-13.50]%, 1% loss of principal for every 1% decline in underlying beyond the buffer 22550BDY6 8/28/17 8/28/17
11AM
EST
9/3/19 1.75%
K869

K869
3.5Y RTY Digital Buffered Notes 20% buffer, [16.00-19.00]% fixed payment percentage if the final level is equal to or greater than the buffer level, 1% loss of principal for every 1% decline in underlying beyond the buffer 22550BDU4 8/28/17 8/28/17
11AM
EST
3/3/21 2.00%
K868

K868 
5Y SPX RTY Absolute Return Digital Barrier Securities 60% European barrier, [33.00-38.00]% fixed payment percentage if the final level of the each underlying is equal to or greater than its initial level, 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BDW0 8/28/17 8/28/17
11AM
EST
9/1/22 3.00%
T1073

T1073 
5Y RTY INDU Accelerated Barrier Notes 50% European barrier, [130.00-140.00%] upside participation rate, 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BEF6 8/28/17 8/28/17
11AM
EST
9/1/22 3.00%
T1078

T1078 

 

     
     

FEE BASED OFFERINGS
Product Description CUSIP Trade
Date
Offering
Closes
Maturity
Date
Sales
Concessi
on
Fact
Sheet
Prelim.
Pricing
Supp.
INCOME/CASH FLOW ALTERNATIVES
1.25Y RTY SX5E Contingent Coupon Autocallable Yield Notes 70% American barrier, [8.00-10.00]% p.a. coupon paid monthly (subject to automatic redemption), 1% loss of principal for every 1% decline in the lowest performing underlying beyond the initial level if a knock-in event occurs 22550BE25 8/31/17 8/30/17
4PM
EST
12/6/18 0.00%
U2206

U2206 
1.25Y SPX RTY Contingent Coupon Autocallable Yield Notes 72.50% American barrier, [7.00-9.00]% p.a. coupon paid monthly (subject to automatic redemption), 1% loss of principal for every 1% decline in the lowest performing underlying beyond the initial level if a knock-in event occurs 22550BDZ3 8/31/17 8/31/17
11AM
EST
12/6/18 0.00%
U2205

U2205
2.5Y XOP XBI Contingent Coupon Autocallable Yield Notes 50% American barrier, [11.00-13.00]% p.a. coupon paid quarterly (subject to automatic redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BE66 8/31/17 8/31/17
11AM
EST
3/6/20 0.00%
U2207

U2207
3Y RTY SX5E Contingent Coupon Callable Yield Notes 70% European barrier [8.50-9.50]% p.a. contingent coupon paid semi- annually (subject to issuer’s early redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BEP4 8/18/17 8/17/17
4PM
EST
8/25/20 0.00%
U2225

U2225 
3Y SPX XBI Contingent Coupon Callable Yield Notes 60% European barrier [9.00-11.00]% p.a. contingent coupon paid quarterly (subject to automatic redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BE74 8/31/17 8/31/17
11AM
EST
9/8/20 0.00%
U2208

U2208
3Y XBI XOP Contingent Coupon Callable Yield Notes 55% European barrier [10.70-11.70]% p.a. contingent coupon paid quarterly (subject to issuer’s early redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BET6 8/18/17 8/18/17
11AM
EST
8/25/20 0.00%
U2227/A

U2227/A 
5Y SPX RTY Contingent Coupon Callable Yield Notes 60% European barrier [6.50-7.00]% p.a. contingent coupon paid monthly (subject to issuer’s early redemption), 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BEB5 8/31/17 8/31/17
11AM
EST
9/6/22 0.00%
U2209 

U2209 
GROWTH ALTERNATIVES
1.5Y SPX Buffered Accelerated Return Equity Securities 10% buffer, 200% upside participation rate to a maximum return of [10.50-12.50]%, 1% loss of principal for every 1% decline in underlying beyond the buffer 22550BE33 8/31/17 8/31/17
11AM
EST
3/5/19 0.00%
K870 

K870
2.5Y INDU Buffered Accelerated Return Equity Securities 10% buffer, [100.00-105.00]% upside participation rate, 1% loss of principal for every 1% decline in underlying beyond the buffer 22550BE41 8/31/17 8/31/17
11AM
EST
3/3/20 0.00%
K871 

K871 
2.5Y SX5E Buffered Accelerated Return Equity Securities 10% buffer, [130.00-135.00]% upside participation rate, 1% loss of principal for every 1% decline in underlying beyond the buffer 22550BE58 8/31/17 8/30/17
4PM EST
3/3/20 0.00%
K872

K872 
4Y RTY INDU Absolute Return Barrier Securities 70% European barrier, [150.00-155.00%] upside participation rate, 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BE82 8/31/17 8/31/17
11AM
EST
9/3/21 0.00%
T1074 

T1074 
5Y SPX RTY Absolute Return Digital Barrier Securities 60% European barrier, [42.50-47.50]% fixed payment percentage if the final level of the each underlying is equal to or greater than its initial level, 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BE90 8/31/17 8/31/17
11AM
EST
9/6/22 0.00%
T1075 

T1075 
5Y RTY INDU Accelerated Barrier Notes 50% European barrier, [160.00-170.00%] upside participation rate, 1% loss of principal for every 1% decline in lowest performing underlying beyond the initial level if a knock-in event occurs 22550BEA7 8/31/17 8/31/17
11AM
EST
9/6/22 0.00%
T1076 

T1076 

 

     
     

* 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.

Selected Risk Considerations

An investment in the securities involves significant risks. Investing in the securities is not equivalent to investing directly in the Underlyings. The risk considerations set forth below are only intended as summaries of some of the risks relating to an investment in the securities. Prior to investing in the securities, you should, in particular, review the “Selected Risk Considerations” section in the relevant Preliminary Pricing Supplement and the “Risk Factors” section in the relevant Product Supplement, if applicable, which set forth risks related to an investment in the securities.

• You may receive less than the principal amount at maturity, and depending on the terms of your investment, your investment may result in a loss of up to 100% of the principal amount.

• The value of the securities and the payment of any amount due on the securities are subject to the credit risk of Credit Suisse.

• Depending on the terms of your investment, the securities may not provide for regular fixed interest payments.

• Depending on the terms of your investment, your investment may be subject to a cap, in which case, you may not benefit from the full appreciation of the underlying(s).

• If the securities are subject to a potential early redemption, your opportunity to be paid interest, if applicable, over the full term of the securities might be limited.

• If the payment on the securities is based on the performance of the lowest performing underlying, you will not benefit from the performance of any other underlying.

• Prior to maturity, costs such as concessions and hedging may affect the value of the securities.

• If the payment on the securities is based on the performance of the lowest performing underlying, the securities are exposed to the risk of fluctuations in the level of the underlyings to the same degree for each underlying.

• If the securities are linked to a reference share or a reference fund, anti-dilution protection is limited.

• Credit Suisse currently estimates that the value of the securities on the trade date will be less than the price you pay for the securities, reflecting the deduction of underwriting discounts and commissions and other costs of creating and marketing the securities.

• The securities will not be listed on any securities exchange. Credit Suisse (or its affiliates) intends to offer to purchase the securities in the secondary market but is not required to do so. Many factors, most of which are beyond the control of the Issuer, will influence the value of the securities and the price at which the securities may be purchased or sold in the secondary market.

• We and our affiliates play a variety of roles in connection with the issuance of the securities, including acting as calculation agent and as agent of the Issuer of the securities, hedging our obligations under the securities and determining the estimated value of the securities. The agent for this offering, Credit Suisse Securities (USA) LLC (“CSSU”), is our affiliate. In accordance with FINRA Rule 5121, CSSU may not make sales in this offering to any discretionary accounts without the prior written approval of the customer.

• The securities will be affected by a number of economic, financial, political, regulatory, and judicial factors that may either offset or magnify each other.

• As a holder of the securities, you will not have voting rights or rights to receive cash dividends or other distributions with respect to the equity securities comprising the underlyings.

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. If the terms described in the applicable Preliminary Pricing Supplement are inconsistent with those described herein, the terms described in the applicable Preliminary Pricing Supplement will prevail. 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-(877)-927-7335.

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