Jan 22 (Reuters) -Following are terms and conditions of a bond priced on Wednesday. Borrower Intershop Holding AG IS.S Issue Amount 125 million swiss francs Maturity Date February 14, 2019 Coupon 1.5 pct Payment Date February 14, 2014 Lead Manager(s) Credit Suisse, UBS & ZKB Listing SIX Full fees Undisclosed Denoms (K) 5 Governing Law Swiss For ratings information, double click on RRS0001 For all bonds data, double click on BONDS For Top international bonds news TOP/DBT For news about this issuer, double click on the issuer RIC, where assigned, and hit the newskey (F9 on Reuters terminals) ((EMEA Fixed Income Desk Bangalore; zara.mascarenhas@thomsonreuters.com; Reuters Messaging zara.mascarenhas.reuters.com@reuters.net; +91 80 6677 2510, fax +44 20 7542 5285))