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Closed Accounts

If you're an existing customer you can find details of closed accounts here. If you have the exact name of the account to hand, this should help you find what you're looking for more easily.

Closed products withdrawn from sale

Icon: Closed Account

To view the current interest rate of products no longer on sale, please download our PDF.

If you have an index linked product with us and require details on strike dates, maturity and other information please see our Index linked product table below. 


Super Tracker Bonds

The Index Growth will be the percentage (if any) by which the Averaged Final Index Level is higher than the Initial Index Level.

The Initial Index Level is the closing level of the Index at the start of the Investment Term.

The Averaged Final Index Level is be the average of the closing levels of the Index on each of the monthly Index Averaging Dates in the final year(s) of the Investment Term.

Name Account Type Launch date Strike date Min Balance  Potential Max Return (%) Indices at strike date Maturity date
Credit Suisse Super Tracker Bond 1 Credit Suisse Structured Deposit 17/01/2011 29/03/2011 £3,000 50% 5932.17 Matured
Credit Suisse Super Tracker Bond 2 Credit Suisse Structured Deposit 26/02/2011 11/05/2011 £3,000 50% 5976.00 1/05/2017
Credit Suisse Super Tracker Bond 3 Credit Suisse Structured Deposit 06/04/2011 29/06/2011 £3,000 50% 5855.95 29/06/2017
Credit Suisse Super Tracker Bond 4 Credit Suisse Structured Deposit 31/05/2011 30/08/2011 £3,000 50% 5268.66 30/08/2017
Credit Suisse Super Tracker Bond 5 Credit Suisse Structured Deposit 29/07/2011 17/10/2011 £3,000 50% 5436.7 17/10/2017
Credit Suisse Super Tracker Bond 6 Credit Suisse Structured Deposit 16/09/2011 09/12/2011 £3,000 42% 5529.2 09/12/2017
Credit Suisse Super Tracker Bond 7 Credit Suisse Structured Deposit 14/11/2011 07/01/2012 £3,000 44% 5901 05/02/2018
Credit Suisse Super Tracker Bond 8 Credit Suisse Structured Deposit 09/01/2012 28/03/2012 £3,000 44% 5808.9 28/03/2018
Credit Suisse Super Tracker Bond 9 Credit Suisse Structured Deposit 06/03/2012 22/05/2012 £3,000 44% 5403.3 22/05/2018
Credit Suisse Super Tracker Bond 10 Credit Suisse Structured Deposit 23/04/2012 17/07/2012 £3,000 50% 5629.1 17/07/2018
Credit Suisse Super Tracker Bond 11 Credit Suisse Structured Deposit 18/06/2012 19/09/2012 £3,000 44.5% 5888.2 19/09/2018
Credit Suisse Super Tracker Bond 12 Credit Suisse Structured Deposit 20/08/2012 20/11/2012 £3000 40% 5748.1 20/11/2018
Credit Suisse Super Tracker Bond 13 Credit Suisse Structured Deposit 22/10/2012 18/01/2013 £3000 35% 6154.40 18/01/2019

FTSE Accumulator Bonds

The Investment Term is divided into 6 annual periods. The closing Index level on the last day of each annual period determines the percentage return for that annual period.

On the last day of each annual period the closing Index level will be compared to the Initial Index level, which was recorded at the Issue Date. The return for that period will then be either:

  • a higher % if the closing Index level is greater than or equal to the Initial Index level; or
  • a minimum % if the closing Index level is lower than the Initial Index level.

At the end of the Investment Term, the returns for each annual period are added. This gives the overall percentage return.

Name Account Type Launch date Strike date Min Balance  Potential Max Return (%) Indices at strike date
Credit Suisse FTSE Accumalator Bond 1 Credit Suisse Structured Deposit 01/11/2011 30/01/2012 £ 3,000 36% 5671.10
Credit Suisse FTSE Accumalator Bond 2 Credit Suisse Structured Deposit 03/01/2012 23/03/2012 £ 3,000 36% 5854.60
Credit Suisse FTSE Accumalator Bond 3 Credit Suisse Structured Deposit 22/02/2012 22/05/2012 £ 3,000 36% 5403.30
Credit Suisse FTSE Accumalator Bond 4 Credit Suisse Structured Deposit 23/04/2012 17/07/2012 £ 3,000 37.2% 5629.10
Name Reading at 1st annual period (strike) Reading at 2nd annual period Reading at 3rd annual period Reading at 4th annual period Reading at 5th annual period Reading at 6th annual period Maturity date
Credit Suisse FTSE Accumulator Bond 1 5671.10 6323.10 6538.50 6548.808115.10
711.48 30/01/2018
Credit Suisse FTSE Accumulator Bond 2 5845.60 6392.80 6557.20 7038.70 6193.50 7324.72 22/03/2018
Credit Suisse FTSE Accumulator Bond 3 5403.30 6840.30 6820.60 7032.70 6173.10 22/05/2017 22/05/2018
Credit Suisse FTSE Accumulator Bond 4 5629.10 6571.90 6738.30 6775.106711.70 17/07/2017 17/07/2018
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