Master data
2,125% Credit Suisse AG (London Branch) (2024)
Code number
A3K53Y
ISIN
XS2480543102
Issuer
Credit Suisse AG (London Branch)
Security type
Fixed Interest, Bank
Country
n/a
Home market
Frankfurter Wertpapierbörse
Market segment
Berlin Open Market
Nominal currency
Euro
Coupon Type
annually
Coupon
Fixed
Last trading day
31/05/2024
Price data
Last
%99.72
Change
%+0.03
Change in %
%+0.030
Date
24/04/2024
Time
08:17:26
Spread
%0.211
Bid
%99.70
Bid Size
2,000,000
Ask
%99.91
Ask Size
2,000,000
Open
%99.72
Previous day
%99.69
High
%99.72
Low
%99.72
52 weeks high
%99.69
52 weeks low
%96.40
Nominal last trade
0
Nominal trade
0
Lead Broker
Name | Clearing account number |
---|---|
Baader Bank AG | 1177 |
Times & Sales
Date | Time | Last | Nominal trade |
---|---|---|---|
24/04/2024 | 08:17:26 | 99.72 | 0 |