2025 – Bonds issuance September 18, 2025

Capgemini has successfully issued in September 2025 a total of €4.0 billion bonds comprising 4 tranches:

  • €1 billion 2-year notes with a floating-rate of 3-month Euribor plus 0.30% (ISIN FR0014012SC7),
  • €0.5 billion 3-year notes with a coupon of 2.50% (issue price 99.806%) (ISIN FR0014012SB9),
  • €1.25 billion 6-year notes with a coupon of 3.125% (issue price 99.409%) (ISIN FR0014012S97),
  • €1.25 billion 9-year notes with a coupon of 3.50% (issue price 99.077%) (ISIN FR0014012S89).

Publications

Press Release Capgemini successfully prices a €4.0 billion bond issue September 18, 2025 10:45 pm (CET)
Other document 2025 – Prospectus on 2027 2028 2031 and 2034 bonds September 23, 2025 8:35 pm (CET)
Press Release 2025 – Bonds issuance – Notice of publication of the prospectus September 23, 2025 8:35 pm (CET)