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New Issue- Credit suisse prices 1.5 bln Euro 2016 FRN

Sept 16 (Reuters) -Following are terms and conditions

of a FRN priced on Tuesday.

Borrower Credit suisse AG (London Branch)

Issue Amount 1.5 billion Euro

Maturity Date September 23, 2016

Coupon 3 month Euribor + 27bp

Issue price Par

Reoffer price Par

Discount Margin 3 month Euribor + 27bp

Payment Date September 23, 2014

Lead Manager(s) Credit Suisse (NYSE: CS - news)

Ratings A1 (Moody's), A (S&P),

A (Fitch)

Listing LUX

Full fees Undisclosed

Denoms (K) 100-1

For ratings information, double click on

For all bonds data, double click on

For Top international bonds news

For news about this issuer, double click on the issuer RIC,

where assigned, and hit the newskey (F9 on Reuters terminals)