Early Repurchase(s)
ISSUER |
ISIN |
CCY |
Nominal |
Markdown Amount |
Remaining Balance |
Value date |
CREDIT SUISSE AG LONDON BRANCH |
XS0512723403 |
EUR |
582,000.00 |
281,000.00 |
301,000.00 |
29/07/2019 |

Bank of New York Mellon
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