On April 6, 2020, Credit Suisse launched, and on April 9, 2020 successfully completed, its registered offering of Usd 1.5 bn aggregate principal amount of 2.800% fixed rate senior notes due 2022, and Usd 1.5 bn aggregate principal amount of 2.950% fixed rate senior notes due 2025. These notes were issued under Credit Suisse’s US medium-term note program and pursuant to its shelf registration statement of file with the U.S. Securities and Exchange Commission.