424B3 1 d941537d424b3.htm PROSPECTUS SUPPLEMENT Prospectus Supplement

Filed Pursuant to Rule 424(b)(3)
Registration Statement Nos. 333-204908
333-204908-05
333-204908-06

 

 

LOGO

 

PROSPECTUS SUPPLEMENT

(to Prospectus dated June 12, 2015)

UBS Americas Inc.

Debt Securities

Fully and Unconditionally Guaranteed by UBS AG

UBS Americas Inc.

Medium-Term Senior Notes, Series C

Fully and Unconditionally Guaranteed by UBS AG

 

 

A prospectus dated March 29, 2001 was prepared relating to the securities listed in Annex A hereto and was delivered in connection with offers and sales of the securities.

We have now prepared a new “base” prospectus dated June 12, 2015. This new base prospectus incorporates the description of your securities from the original prospectus dated March 29, 2001. However, since the terms of your securities have remained the same, we are continuing to use the original prospectus dated March 29, 2001.

As a result, you should read the original prospectus dated March 29, 2001 for your securities together with the new base prospectus dated June 12, 2015.

As disclosed in the new base prospectus, effective upon the date of the transfer by UBS AG to UBS Switzerland AG of UBS AG’s Retail & Corporate and Wealth Management business booked in UBS AG’s booking center in Switzerland, UBS Switzerland AG will become a co-obligor of the guarantee of UBS AG of debt securities previously issued by UBS Americas Inc., including your securities. For additional information regarding the co-obligation, see “Introduction—Co-obligation of UBS Switzerland AG” in the new base prospectus.

UBS AG, UBS Securities LLC, UBS Financial Services Inc. and other affiliates of UBS AG may use this prospectus supplement, together with the original prospectus dated March 29, 2001 and the new base prospectus dated June 12, 2015, in connection with offers and sales of the securities listed in Annex A in market-making transactions.

 

UBS Investment Bank    UBS Financial Services Inc.

Prospectus Addendum dated June 12, 2015


 

ANNEX A

 

Title of Securities    CUSIP Number

$5 million 8.2700% Notes due October 4, 2016

   69563AFG1

$25 million 8.0600% Notes due January 17, 2017

   69563AFR7

$5 million 8.0400% Notes due June 5, 2017

   69563AGW5

$10 million 7.9900% Notes due June 9, 2017

   69563AGX3

$19.31 million 7.6050% Notes due July 17, 2017

   69563AHC8

$10 million 7.6330% Notes due September 11, 2017

   69563AHL8

$13 million Floating Rate Notes due May 7, 2018

   69563AJU6