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Credit Suisse — Carta societaria

Società Credit Suisse
nome completo della società Credit Suisse Group AG
paese Switzerland
paese di registrazione Switzerland
settore Banks
Sito internet http://www.credit-suisse.com
SIC 6211 SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
ICB 8300 Banks

Requisiti

  • pre-LEI / LEI
    ANGGYXNX0JLX3X63JN86
  • SWIFT
    CRESCHZHXXX
  • CIK
    0001053092

Profilo

Credit Suisse is a leading global financial services company providing businesses, institutional and high-net-worth private clients worldwide with advisory services, comprehensive solutions, and excellent products. Credit Suisse’s geographic footprint extends to 28 countries in both developed and developing markets. The company operates in two global divisions, Private Banking & Wealth Management that offers comprehensive advice and a broad range of financial solutions to clients,  and Investment Banking that provides financial products, focusing on client-driven and high return businesses.

Notizie e documenti

Rating di credito dell' emittente

AgenziaRatingScala di ratingData
Scope Ratings *** Issuer Rating ***
Scope Ratings *** Senior Unsecured Debt Rating ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
Registrazione necessaria. Effettuare l’accesso o compilare il modulo di registrazione.

Importo delle emissioni obbligazionarie presenti sul mercato

Valuta Emissioni di obbligazioni in corso Volume complessivo
AUD 2 301 000 000
CHF 3 985 000 000
EUR 12 10 226 682 000
GBP 3 1 355 000 000
JPY 4 107 500 000 000
MXN 1 1 000 000 000
RUB 11 5 873 300 000
USD 29 28 273 441 120

Partecipazione alle transazioni

Obbligazione Importo, milioni. Status
R&F Properties (HK), 9.125% 28jul2022, USD 300 USD responsabile del collocamento
Credit Suisse AG (London) Branch, 4.25% 24jan2029, USD 10 USD responsabile del collocamento
Credit Suisse AG (London) Branch, 0% 25jan2034, AUD (5479D) 28 AUD responsabile del collocamento
Yuzhou Properties, 8.625% 23jan2022, USD 500 USD responsabile del collocamento
Enel, 1.5% 21jul2025, EUR 1.000 EUR responsabile del collocamento
Charter Communications Operating, 5.05% 30mar2029, USD 1.250 USD responsabile del collocamento
Charter Communications Operating, 5.75% 1apr2048, USD 2.450 USD responsabile del collocamento
Credit Suisse International, 0% 22dec2021, RUB (1076D) 6 RUB responsabile del collocamento
Redco Properties Group, 13.5% 21jan2020, USD 250 USD responsabile del collocamento
Fresenius SE, 1.875% 15feb2025, EUR 500 EUR responsabile del collocamento
Prestito Importo, milioni. Status
Metalloinvest, 08.2018 1.500 USD Bookrunner
SUEK, 2,03.2018 515 USD Bookrunner
Siberian Anthracite, 03.2018 570 USD Bookrunner
Credit Bank of Moscow, 03.2018 400 USD Placement participant
Metalloinvest, 2,01.2018 152 USD Bookrunner
Metalloinvest, 1,01.2018 88 USD Bookrunner
Siberian Anthracite, 12.2017 547 USD Bookrunner
Acron, B, 05.2017 120 USD Bookrunner
HC Metalloinvest, 2, 05.2017 250 USD Bookrunner
HC Metalloinvest, 1, 05.2017 800 USD Bookrunner

Indici calcolati dalle organizzazioni

Credit Suisse

Indici giornalieri

Tipo: 03/02/2017 02/02/2017 01/02/2017 31/01/2017 30/01/2017 27/01/2017 26/01/2017
EMCI
[1631] EMCI TOTAL Total Ret Index Level 291.64 291.26 290.87 290.78 290.48 290.45 290.20
[1632] EMCI TOTAL Price Ret Index Level 108.38 108.25 108.13 108.13 108.03 108.03 107.94
[1633] EMCI TOTAL Street Yield 4.49 4.51 4.54 4.56 4.58 4.58 4.60
[1634] EMCI TOTAL Assetswap Spread 241 245 246 251 251 250 250
[1635] EMCI TOTAL Bench Spread  268 270 272 277 276 276 277
[1636] EMCI EMEA Total Ret Index Level 333.07 332.68 332.28 332.23 332.18 332.11 331.88
[1637] EMCI EMEA Price Ret Index Level 115.59 115.47 115.38 115.38 115.38 115.37 115.29
[1638] EMCI EMEA Street Yield 4.37 4.39 4.41 4.47 4.47 4.48 4.49
[1639] EMCI EMEA Assetswap Spread 232 236 237 245 243 243 242
[1640] EMCI EMEA Bench Spread  265 267 269 277 274 275 276
[1641] EMCI AMERICAS Total Ret Index Level 306.24 305.46 304.72 304.23 303.76 303.74 303.17
[1642] EMCI AMERICAS Price Ret Index Level 105.62 105.37 105.14 105.02 104.87 104.88 104.69
[1643] EMCI AMERICAS Street Yield 6.01 6.05 6.09 6.13 6.15 6.16 6.19
[1644] EMCI AMERICAS Assetswap Spread 356 361 363 368 368 368 369
[1645] EMCI AMERICAS Bench Spread 395 399 403 408 407 409 411
[1646] EMCI ASIA Total Ret Index Level 276.19 276.02 275.81 275.93 275.62 275.61 275.52
[1647] EMCI ASIA Price Ret Index Level 113.92 113.86 113.80 113.87 113.76 113.77 113.73
[1648] EMCI ASIA Street Yield 3.62 3.64 3.65 3.65 3.67 3.67 3.68
[1649] EMCI ASIA Assetswap Spread 171 174 175 178 178 177 177
[1650] EMCI ASIA Bench Spread 193 194 195 197 196 197 196
[1651] EMCI A Bucket Total Ret Index Level 238.04 237.87 237.74 237.89 237.54 237.57 237.46
[1652] EMCI A Bucket Price Ret Index Level 109.35 109.28 109.24 109.34 109.19 109.21 109.16
[1653] EMCI A Bucket Street Yield 3.19 3.20 3.21 3.19 3.21 3.21 3.22
[1654] EMCI A Bucket Assetswap Spread 126 129 129 129 129 129 128
[1655] EMCI A Bucket Bench Spread 139 141 141 141 141 141 140
[1656] EMCI BBB Bucket Total Ret Index Level 267.91 267.45 266.97 266.91 266.57 266.60 266.46
[1657] EMCI BBB Bucket Price Ret Index Level 106.52 106.35 106.19 106.19 106.07 106.10 106.04
[1658] EMCI BBB Bucket Street Yield 4.12 4.14 4.17 4.17 4.18 4.18 4.19
[1659] EMCI BBB Bucket Assetswap Spread 206 211 212 215 214 214 213
[1660] EMCI BBB Bucket Bench Spread 215 218 220 222 221 221 221
[1661] EMCI BB Bucket Total Ret Index Level 338.87 338.33 337.72 337.47 337.32 337.13 336.85
[1662] EMCI BB Bucket Price Ret Index Level 104.83 104.68 104.53 104.48 104.45 104.41 104.33
[1663] EMCI BB Bucket Street Yield 4.76 4.80 4.84 4.86 4.87 4.88 4.90
[1664] EMCI BB Bucket Assetswap Spread 289 295 298 301 300 300 300
[1665] EMCI BB Bucket Bench Spread 306 310 314 317 315 316 317
[1666] EMCI B Bucket Total Ret Index Level 350.79 350.19 349.57 348.79 348.16 348.12 347.54
[1667] EMCI B Bucket Price Ret Index Level 82.35 82.23 82.11 81.97 81.83 81.84 81.71
[1668] EMCI B Bucket Street Yield 6.34 6.36 6.41 6.56 6.60 6.60 6.64
[1669] EMCI B Bucket Assetswap Spread 432 436 439 452 454 452 455
[1670] EMCI B Bucket Bench Spread 459 462 465 481 483 483 487
mostra altri indici

Quotazioni

Obbligazione Data Prezzo denaro Prezzo lettera Ultimo prezzo Rendimento a scadenza ( denaro ), % Rendimento a scadenza ( lettera ), % Yield per l`ultimo prezzo, %
Alfa Bank, 8.9% 20jul2021, RUB 16/01/2019 **.**** ***.**** *.** *.**
Alfa Bank, 9.25% 16feb2022, RUR 16/01/2019 ***.**** ***.**** *.** *.**
FGC UES, 8.446% 13mar2019, RUR 16/01/2019 **.**** ***.**** *.** *.**
RusHydro, 7.4% 15feb2021, RUB 16/01/2019 **.**** **.**** *.** *.**
RusHydro, 8.125% 28sep2022, RUB 16/01/2019 **.**** **.**** *.** *.**
RusHydro, 8.975% 27jan2022, RUB 16/01/2019 ***.**** ***.**** *.** *.**
Russia, 25083 22/01/2019 **.**** **.**** *.** *.**
Russia, 26205 22/01/2019 **.**** **.**** *.** *.**
Russia, 26207 22/01/2019 ***.**** ***.**** *.** *.**
Russia, 26208 22/01/2019 **.**** ***.**** *.** *.**
Russia, 26209 22/01/2019 **.**** **.**** *.** *.**
Russia, 26210 22/01/2019 **.**** **.**** *.** *.**
Russia, 26211 22/01/2019 **.**** **.**** *.** *.**
Russia, 26212 22/01/2019 **.**** **.**** *.** *.**
Russia, 26214 22/01/2019 **.**** **.**** *.** *.**
Russia, 26215 22/01/2019 **.**** **.**** *.** *.**
Russia, 26216 22/01/2019 **.**** **.**** *.** *.**
Russia, 26217 22/01/2019 **.**** **.**** *.** *.**
Russia, 26218 22/01/2019 ***.**** ***.**** *.** *.**
Russia, 26220 22/01/2019 **.**** **.**** *.** *.**
Russia, 26221 22/01/2019 **.**** **.**** *.** *.**
Russia, 26222 22/01/2019 **.**** **.**** *.** *.**
Russia, 29006 22/01/2019 ***.**** ***.**** *.** *.**
Russia, 29011 22/01/2019 ***.**** ***.**** *.** *.**
Russia, 46018 22/01/2019 **.**** **.**** *.** *.**
Russia, 46019 22/01/2019 **.**** **.**** *.** *.**
Russia, 46020 22/01/2019 **.**** **.**** *.** *.**
Russia, 46022 22/01/2019 **.**** **.**** *.** *.**
Russia, 52001 (OFZ-IN) 22/01/2019 **.**** **.**** *.** *.**
RZD, 7.9% 19oct2024, RUB 16/01/2019 **.**** **.**** *.** *.**
RZD, 8.30% 2apr2019, RUR 16/01/2019 **.**** ***.**** *.** *.**
RZD, 8.99% 3mar2024, RUR 16/01/2019 ***.**** ***.**** *.** *.**
RZD, 9.2% 7oct2023, RUR 16/01/2019 ***.**** ***.**** *.** *.**
X5 Retail Group, 9.25% 18apr2020, RUB 16/01/2019 ***.**** ***.**** *.** *.**
*
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