Credit Suisse (UK) Limited has priced a syndicated EUR denominated Alpine market bond which matures in 2025.
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Issuer Details | |
Issuer | Credit Suisse (UK) Limited |
LEI | 549300GUAMON5OX2OO54 |
Industry | Bank - Credit Institution |
Country | United Kingdom |
Trade Details | |
Security Type | Bond |
Amount | EUR [Login to see full details] |
Total Amount including taps | EUR [Login to see full details] |
Total Amount Outstanding | EUR [Login to see full details] |
Total Order Book | EUR [Login to see full details] |
Structure | Floating Rate |
Reoffer | [Login to see full details] |
Term | [Login to see full details] |
Yield Notes | [Login to see full details] |
Trade Date | [Login to see full details] |
Settlement Date | [Login to see full details] |
Maturity Date | [Login to see full details] |
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An Alpine bond is a CHF-denominated bond issued by a non-Swiss entity in the Swiss Foreign Bond market.
Check here for all issuer’s year to date financings.