<Page> <Table> <Caption> PRICING SUPPLEMENT NO. 24 DATED MARCH 28 TH, 2002 REGISTRATION STATEMENT NO. 333-71850 (TO PROSPECTUS SUPPLEMENT DATED NOVEMBER 6, 2001 FILED PURSUANT TO RULE 424(B)(2) AND PROSPECTUS DATED OCTOBER 25, 2001) CREDIT SUISSE FIRST BOSTON (USA), INC. MEDIUM-TERM NOTES DUE NINE MONTHS OR MORE FROM DATE OF ISSUE THE MEDIUM-TERM NOTES, AS FURTHER DESCRIBED BELOW AND IN THE ACCOMPANYING PROSPECTUS SUPPLEMENT UNDER "DESCRIPTION OF NOTES", WILL BEAR INTEREST FROM THE DATE OF ISSUANCE UNTIL THE PRINCIPAL AMOUNT THEREOF IS PAID OR MADE AVAILABLE FOR PAYMENT AT THE RATE SET FORTH BELOW. Agent: Credit Suisse First Boston Corporation Principal Amount: 50MM Optional Conversion: N/A Price To Public: 100.00% Optional Repayment Date: Non Call/ Life Underwriting Discount: N/A Percentage To Issuer: 100.00% Business Day Jurisdiction: New York Settlement Date March 28,2002 Initial Redemption Percentage: N/A (Original Issue Date): Specified Currency: US Dollar Initial Redemption Date: N/A Authorized Denomination: $1,000 and integral Annual Redemption N/A multiples thereof Percentage Reduction: Optional Extension of Maturity: Maturity Date: March 29,2004 Form of Note: Book Entry Fixed Rate or Floating Rate Note: Floating Rate Note Initial Interest Rate: TBD Interest Rate Basis: Fed Funds Open Maximum/Minimum N/A Initial Interest Reset Date: Daily Interest Rate: Interest Reset Date(s): Quarterly. Pays the 28th each March, June September, and December. Spread to Index: +30 basis points Interest Payment Date: Quarterly. Pays the Specify if Note is indexed, N/A 28th each March, June renewable, dual currency, September, and amortizing, or OID, if applicable: December and maturity. Subject to the modified following business convention. Interest Determination Date: Daily Fed Funds Open Day Count: ACT/360 As shown on Telerate page 5 . CUSIP: 22541FCQ7 First Interest Payment Date: June 28th 2002 Settlement: DTC #355 ------------------------------------------------------------------ CREDIT SUISSE FIRST BOSTON </Table>