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Call Warrant con Knock-Out su Credit Suisse Group AG

  • N. di valore 116329523
  • ISIN CH1163295236
  • Simbolo OCSAPV
Knock out prodotto al 01/09/2022
Credit Suisse Group AGCHF 
Si prega di notare che quanto sopra è una mera indicazione di prezzo.

Documentazione

Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

BARRIER EVENT

The price of the underlying reached the barrier.

Barrier Event occurred on: 01.09.2022
Determined at: 16:39:42

Underlying: Credit Suisse Group AG
Underlying ISIN: CH0012138530
Barrier: 4.87

Last trading day: 01.09.2022
Maturity Date: 08.09.2022
Cash Amount: 0.00 CHF

The product shall be redeemed at the Maturity Date by payment of the Cash Amount and will be delisted after market closing today.

Date: 01.09.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2111%

Valuation date: 01.09.2022

Date: 01.09.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2099%

Valuation date: 31.08.2022

Date: 31.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2092%

Valuation date: 30.08.2022

Date: 30.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2067%

Valuation date: 29.08.2022

Date: 29.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.21%

Valuation date: 26.08.2022

Date: 26.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2097%

Valuation date: 25.08.2022

Date: 25.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2086%

Valuation date: 24.08.2022

Date: 24.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.87

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2107%

Valuation date: 23.08.2022

Date: 23.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2105%

Valuation date: 22.08.2022

Date: 22.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2108%

Valuation date: 19.08.2022

Date: 19.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2095%

Valuation date: 18.08.2022

Date: 18.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2078%

Valuation date: 17.08.2022

Date: 17.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2098%

Valuation date: 16.08.2022

Date: 16.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2092%

Valuation date: 15.08.2022

Date: 15.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2079%

Valuation date: 12.08.2022

Date: 12.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2082%

Valuation date: 11.08.2022

Date: 11.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.208%

Valuation date: 10.08.2022

Date: 10.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2083%

Valuation date: 09.08.2022

Date: 09.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2088%

Valuation date: 08.08.2022

Date: 08.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2079%

Valuation date: 05.08.2022

Date: 05.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2082%

Valuation date: 04.08.2022

Date: 04.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.1886%

Valuation date: 03.08.2022

Date: 03.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.1886%

Valuation date: 02.08.2022

Date: 02.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.86

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.206%

Valuation date: 01.08.2022

Date: 01.08.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2061%

Valuation date: 29.07.2022

Date: 29.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.208%

Valuation date: 28.07.2022

Date: 28.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2066%

Valuation date: 27.07.2022

Date: 27.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2022%

Valuation date: 26.07.2022

Date: 26.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.211%

Valuation date: 25.07.2022

Date: 25.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2131%

Valuation date: 22.07.2022

Date: 22.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2136%

Valuation date: 21.07.2022

Date: 21.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2103%

Valuation date: 20.07.2022

Date: 20.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2101%

Valuation date: 19.07.2022

Date: 19.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2104%

Valuation date: 18.07.2022

Date: 18.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.21%

Valuation date: 15.07.2022

Date: 15.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.208%

Valuation date: 14.07.2022

Date: 14.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2094%

Valuation date: 13.07.2022

Date: 13.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2128%

Valuation date: 12.07.2022

Date: 12.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.85

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2121%

Valuation date: 11.07.2022

Date: 11.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2106%

Valuation date: 08.07.2022

Date: 08.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2097%

Valuation date: 07.07.2022

Date: 07.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2062%

Valuation date: 06.07.2022

Date: 06.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.205%

Valuation date: 05.07.2022

Date: 05.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.1954%

Valuation date: 04.07.2022

Date: 04.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2009%

Valuation date: 01.07.2022

Date: 01.07.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.1952%

Valuation date: 30.06.2022

Date: 30.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2022%

Valuation date: 29.06.2022

Date: 29.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2011%

Valuation date: 28.06.2022

Date: 28.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.1986%

Valuation date: 27.06.2022

Date: 27.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.1946%

Valuation date: 24.06.2022

Date: 24.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2073%

Valuation date: 23.06.2022

Date: 23.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2105%

Valuation date: 22.06.2022

Date: 22.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.2105%

Valuation date: 22.06.2022

Date: 22.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.4998%

Valuation date: 21.06.2022

Date: 21.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.4998%

Valuation date: 20.06.2022

Date: 20.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6959%

Valuation date: 17.06.2022

Date: 17.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.84

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7036%

Valuation date: 16.06.2022

Date: 16.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7086%

Valuation date: 15.06.2022

Date: 15.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7076%

Valuation date: 14.06.2022

Date: 14.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7078%

Valuation date: 13.06.2022

Date: 13.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7079%

Valuation date: 10.06.2022

Date: 10.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7086%

Valuation date: 09.06.2022

Date: 09.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7088%

Valuation date: 08.06.2022

Date: 08.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7084%

Valuation date: 07.06.2022

Date: 07.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7084%

Valuation date: 06.06.2022

Date: 06.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7088%

Valuation date: 03.06.2022

Date: 03.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6923%

Valuation date: 02.06.2022

Date: 02.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7095%

Valuation date: 01.06.2022

Date: 01.06.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7095%

Valuation date: 31.05.2022

Date: 31.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7093%

Valuation date: 30.05.2022

Date: 30.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7093%

Valuation date: 27.05.2022

Date: 27.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7093%

Valuation date: 26.05.2022

Date: 26.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7085%

Valuation date: 25.05.2022

Date: 25.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7097%

Valuation date: 24.05.2022

Date: 24.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7109%

Valuation date: 23.05.2022

Date: 23.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.83

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7107%

Valuation date: 20.05.2022

Date: 20.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.709%

Valuation date: 19.05.2022

Date: 19.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7093%

Valuation date: 18.05.2022

Date: 18.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7092%

Valuation date: 17.05.2022

Date: 17.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.709%

Valuation date: 16.05.2022

Date: 16.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7102%

Valuation date: 13.05.2022

Date: 13.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7099%

Valuation date: 12.05.2022

Date: 12.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.708%

Valuation date: 11.05.2022

Date: 11.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7073%

Valuation date: 10.05.2022

Date: 10.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.82

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7053%

Valuation date: 09.05.2022

Date: 09.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7069%

Valuation date: 06.05.2022

Date: 06.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7044%

Valuation date: 05.05.2022

Date: 05.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7018%

Valuation date: 04.05.2022

Date: 04.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7016%

Valuation date: 03.05.2022

Date: 03.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7072%

Valuation date: 02.05.2022

Date: 02.05.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7078%

Valuation date: 29.04.2022

Date: 29.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7083%

Valuation date: 28.04.2022

Date: 28.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7075%

Valuation date: 27.04.2022

Date: 27.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7088%

Valuation date: 26.04.2022

Date: 26.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7097%

Valuation date: 25.04.2022

Date: 25.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7087%

Valuation date: 22.04.2022

Date: 22.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7091%

Valuation date: 21.04.2022

Date: 21.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7095%

Valuation date: 20.04.2022

Date: 20.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.708%

Valuation date: 19.04.2022

Date: 19.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.90

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.708%

Valuation date: 18.04.2022

Date: 18.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.708%

Valuation date: 15.04.2022

Date: 15.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.708%

Valuation date: 14.04.2022

Date: 14.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.708%

Valuation date: 13.04.2022

Date: 13.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7082%

Valuation date: 12.04.2022

Date: 12.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7086%

Valuation date: 11.04.2022

Date: 11.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7072%

Valuation date: 08.04.2022

Date: 08.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7085%

Valuation date: 07.04.2022

Date: 07.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7067%

Valuation date: 06.04.2022

Date: 06.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7033%

Valuation date: 05.04.2022

Date: 05.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7017%

Valuation date: 04.04.2022

Date: 04.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7019%

Valuation date: 01.04.2022

Date: 01.04.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7003%

Valuation date: 31.03.2022

Date: 31.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6995%

Valuation date: 30.03.2022

Date: 30.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.7006%

Valuation date: 29.03.2022

Date: 29.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6983%

Valuation date: 28.03.2022

Date: 28.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6921%

Valuation date: 25.03.2022

Date: 25.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6918%

Valuation date: 24.03.2022

Date: 24.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6917%

Valuation date: 23.03.2022

Date: 23.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Official Notice

Issuer: Bank Vontobel AG, Zurich
Product: Call Warrant with Knock-Out on Credit Suisse Group AG
ISIN: CH1163295236
Valor: 116329523

ADJUSTMENT OF PRODUCT TERMS

The product terms and conditions have been set as follows effective as of the valuation date:

Strike/Knock-out Level: CHF 4.89

FURTHER INFORMATION
Name Underlying: Credit Suisse Group AG
ISIN Underlying: CH0012138530
Bloomberg Ticker Underlying: CSGN SE Equity
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: -0.6874%

Valuation date: 22.03.2022

Date: 22.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Phone: +41 58 283 78 75
E-mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.6813%

Stichtag: 21.03.2022

Datum: 21.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.6889%

Stichtag: 18.03.2022

Datum: 18.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.6975%

Stichtag: 17.03.2022

Datum: 17.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.699%

Stichtag: 16.03.2022

Datum: 16.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.7083%

Stichtag: 15.03.2022

Datum: 15.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.7044%

Stichtag: 14.03.2022

Datum: 14.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.7147%

Stichtag: 11.03.2022

Datum: 11.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.713%

Stichtag: 10.03.2022

Datum: 10.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
Offizielle Mitteilung

Emittentin: Bank Vontobel AG, Zürich
Produkt: Call Warrant mit Knock-Out auf Credit Suisse Group AG
Symbol: OCSAPV
CH-Valor: 116329523
ISIN: CH1163295236

ANPASSUNG PRODUKTBEDINGUNGEN

Die Produktbedingungen wurden mit Wirkung zum Stichtag wie folgt festgesetzt:

Strike/Knock-out Level: CHF 4.88

WEITERE INFORMATIONEN
Bezeichnung Basiswert: Credit Suisse Group AG
ISIN Basiswert: CH0012138530
Bloomberg Ticker Basiswert: CSGN SE Equity
Finanzierungsspread: 3.50%
Stop-Loss Puffer: 0.00%
Referenzzinssatz: -0.7161%

Stichtag: 09.03.2022

Datum: 09.03.2022
Bank: Bank Vontobel AG
Person: Issuance CH-APAC
Telefon: +41 58 283 78 75
E-Mail: IssuanceCH-APAC@vontobel.com
TypeDateTitel
Barrier Events01/09/2022Adjustment of product conditions
Rule-based Parameter Adjustment01/09/2022Adjustment of Product Terms
Rule-based Parameter Adjustment31/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment30/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment29/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment26/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment25/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment24/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment23/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment22/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment19/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment18/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment17/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment16/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment15/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment12/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment11/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment10/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment09/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment08/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment05/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment04/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment03/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment02/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment01/08/2022Adjustment of Product Terms
Rule-based Parameter Adjustment29/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment28/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment27/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment26/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment25/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment22/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment21/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment20/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment19/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment18/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment15/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment14/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment13/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment12/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment11/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment08/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment07/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment06/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment05/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment04/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment01/07/2022Adjustment of Product Terms
Rule-based Parameter Adjustment30/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment29/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment28/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment27/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment24/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment23/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment22/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment22/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment21/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment20/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment17/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment16/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment15/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment14/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment13/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment10/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment09/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment08/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment07/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment06/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment03/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment02/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment01/06/2022Adjustment of Product Terms
Rule-based Parameter Adjustment31/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment30/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment27/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment26/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment25/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment24/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment23/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment20/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment19/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment18/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment17/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment16/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment13/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment12/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment11/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment10/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment09/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment06/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment05/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment04/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment03/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment02/05/2022Adjustment of Product Terms
Rule-based Parameter Adjustment29/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment28/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment27/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment26/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment25/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment22/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment21/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment20/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment19/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment18/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment15/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment14/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment13/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment12/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment11/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment08/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment07/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment06/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment05/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment04/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment01/04/2022Adjustment of Product Terms
Rule-based Parameter Adjustment31/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment30/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment29/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment28/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment25/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment24/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment23/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment22/03/2022Adjustment of Product Terms
Rule-based Parameter Adjustment21/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment18/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment17/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment16/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment15/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment14/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment11/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment10/03/2022Anpassung Produktbedingungen
Rule-based Parameter Adjustment09/03/2022Anpassung Produktbedingungen

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