Credit Suisse Ag (SLVO) 15.10 $SLVO
Credit Suisse Announces Expected May Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Apr 15, 7:00AM CDT
On April 11, 2014, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with May expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on May 12, 2014, subject to adjustment in the event of any market disruption events.
Capital Link's 13th Annual Closed-End Funds & Global ETFS Forum; Thursday April 24, 2014 -- the Metropolitan Club, New York City
Marketwire - Mon Apr 14, 7:31AM CDT
Capital Link's 13th Annual Closed-End Funds & Global ETFs Forum will take place on Thursday, April 24, 2014 at the Metropolitan Club in New York City.
Credit Suisse Announces April Monthly Coupon Payments of $0.1764 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.2302 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Mon Apr 14, 7:00AM CDT
On April 11, 2014, Credit Suisse declared $0.1764 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.2302 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on April 25, 2014 to holders of record on April 22, 2014. The ex-dividend date is April 17, 2014.
Credit Suisse Announces Expected March Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Feb 25, 7:30AM CST
On February 18, 2014, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with March expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on March 17, 2014, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces February Monthly Coupon Payments of $0.1086 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.1312 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Feb 18, 7:30AM CST
On February 18, 2014, Credit Suisse declared $0.1086 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.1312 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on February 26, 2014 to holders of record on February 21, 2014. The ex-dividend date is February 19, 2014.
Credit Suisse Announces Expected February Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Wed Jan 15, 7:00AM CST
On January 13, 2014, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with February expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on February 18, 2014, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces January Monthly Coupon Payments of $0.1355 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.1397 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Jan 14, 7:00AM CST
On January 13, 2014, Credit Suisse declared $0.1355 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.1397 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on January 27, 2014, to holders of record on January 22, 2014. The ex-dividend date is January 17, 2014.
Credit Suisse Announces Expected January Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Thu Dec 19, 7:30AM CST
On December 16, 2013, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with January expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on January 13, 2014, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces December Monthly Coupon Payments of $0.1167 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.2021 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Dec 17, 7:30AM CST
On December 16, 2013, Credit Suisse declared $0.1167 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.2021 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on December 27, 2013 to holders of record on December 20, 2013. The ex-dividend date is December 18, 2013.
Credit Suisse Announces Expected December Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Wed Nov 13, 7:30AM CST
On November 11, 2013, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with December expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on December 16, 2013, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces November Monthly Coupon Payments of $0.1269 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.2189 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Nov 12, 7:30AM CST
On November 11, 2013, Credit Suisse declared $0.1269 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.2189 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on November 25, 2013 to holders of record on November 20, 2013. The ex-dividend date is November 18, 2013.
Credit Suisse Announces Expected October Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Wed Sep 18, 7:45AM CDT
On September 16, 2013, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with October expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on October 15, 2013, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces September Monthly Coupon Payments of $0.2090 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.2463 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Sep 17, 7:45AM CDT
On September 16, 2013, Credit Suisse declared $0.2090 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.2463 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on September 25, 2013 to holders of record on September 20, 2013. The ex-dividend date is September 18, 2013.
Credit Suisse Announces Expected September Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Thu Aug 15, 7:45AM CDT
On August 12, 2013, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with September expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on September 16, 2013, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces August Monthly Coupon Payments of $0.3479 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.3319 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Mon Aug 12, 4:15PM CDT
On August 12, 2013, Credit Suisse declared $0.3479 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.3319 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on August 27, 2013 to holders of record on August 21, 2013. The ex-dividend date is August 19, 2013.
Credit Suisse Announces July Monthly Coupon Payments of $0.1717 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.2497 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Jul 16, 7:50AM CDT
On July 15, 2013, Credit Suisse declared $0.1717 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.2497 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on July 25, 2013 to holders of record on July 22, 2013. The ex-dividend date is July 18, 2013.
Credit Suisse Announces Expected July Coupon Payments on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Tue Jun 18, 8:00AM CDT
On June 17, 2013, the Credit Suisse NASDAQ Gold FLOWS 103 Index and the Credit Suisse NASDAQ Silver FLOWS 106 Index (the "Indices"

concluded the notional sale of options on GLD shares and SLV shares with July expiration. We expect that the notional cash distribution generated by this sale of options will be withdrawn from the Indices on July 15, 2013, subject to adjustment in the event of any market disruption events.
Credit Suisse Announces May Monthly Coupon Payments of $0.1340 per ETN on its Gold Shares Covered Call ETN (ticker symbol "GLDI"

and $0.1830 per ETN on its Silver Shares Covered Call ETN (ticker symbol "SLVO"
PR Newswire - Mon Jun 17, 8:00AM CDT
On June 17, 2013, Credit Suisse declared $0.1340 per ETN monthly Coupon Payment for the Gold Shares Covered Call ETN (the "GLDI ETN"

and declared $0.1830 per ETN monthly Coupon Payment for the Silver Shares Covered Call ETN (the "SLVO ETN"

. The respective Coupon Payments are payable on June 25, 2013 to holders of record on June 20, 2013. The ex-dividend date is June 18, 2013.
Time to Buy the Covered Call Silver and Gold ETFs? - ETF News And Commentary
Eric Dutram - Zacks Investment Research - Fri May 24, 1:30PM CDT
Should investors look to covered call precious metal ETFs for exposure?