Below you find an overview of the bonds outstanding:

Issue Amount:CHF 300 million
Payment date:June 26, 2020
Maturity:8 years
Coupon:0.75% paid annually
Issue price:100.084%
Redemption price:100%
ISIN:CH0547243276
Issue Amount:CHF 200 million
Payment date:May 2, 2022
Maturity:7 years
Coupon:1.05% paid annually
Issue price:100.074%
Redemption price:100%
ISIN:CH1179534933
Issue Amount:CHF 100 million
Payment date:October 11, 2019
Maturity:10 years
Coupon:0.00%
Issue price:100%
Redemption price:100%
ISIN:CH0419041592
Issue Amount:CHF 200 million
Payment date:December 12, 2022
Maturity:8 years
Coupon:1.95% paid annually
Issue price:100.147%
Redemption price:100%
ISIN:CH1230759503
Issue Amount:CHF 250 million
Payment date:May 2, 2022
Maturity:10 years
Coupon:1.40% paid annually
Issue price:100.217%
Redemption price:100%
ISIN:CH1179534941
Issue Amount:CHF 150 million
Payment date:October 6, 2025
Maturity:8 years
Coupon:0.9275% paid annually
Issue price:100%
Redemption price:100%
ISIN:CH1487331956
Issue Amount:CHF 100 million
Payment date:October 11, 2019
Maturity:15 years
Coupon:0.40% paid annually 
Issue price:100%
Redemption price:100%
ISIN:CH0419041600

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