Credit Suisse AG
Press Release
Credit Suisse AG has filed supplementary prospectuses to:
* Structured Products Programme for the issuance of Notes, Certificates and Warrants Base Prospectus dated
14 June 2012;
* Non-Capital at Risk and Capital at Risk Securities (Multi-Asset Trend Reweight Call Securities) Base
Prospectus dated 28 June 2012;
* Basket Put and Call and Single Factor Put and Call Securities Base dated 28 June 2012;
* Non-Capital at Risk and Capital at Risk (Call Options and Put Options) Securities Base Prospectus dated 28
June 2012; and
* Yield Options and Return Options Securities Base Prospectus dated 28 June 2012;
* Single Factor Bonus and Participation Securities Base Prospectus dated 28 June 2012;
* Trigger Redeemable and Phoenix Securities Base Prospectus dated 28 June 2012;
* Reverse Convertible and Worst of Reverse Convertible Securities Base Prospectus dated 28 June 2012;
* Variable Interest Rate Securities Base Prospectus dated 28 June 2012
with the UK Financial Services Authority by lodging them with the National Storage Mechanism on 12 February 2013.
The supplementary prospectuses can be obtained from the offices of the issuer at One Cabot Square, London E14 4QJ
or at the offices of Bank of New York Mellon, acting through its London Branch, at One Canada Square, London E14
5AL, or by accessing the National Storage Mechanism at www.morningstar.co.uk/uk/NSM.