Liquidity program report – 6 months ending December 31, 2016 January 4, 2017
Decisions of the Board of Directors on the strengthening of the share buyback program, the Audit Committee and the legal form of the Company December 8, 2016
Capgemini has completed the early redemption of the “ORNANE” bonds November 21, 2016
2016 – Bonds issuance – Notice of publication of the prospectus November 7, 2016
Availability of the prospectus November 7, 2016
Capgemini successfully places a €500 million bond issue November 7, 2016
Q3 2016 Revenues October 26, 2016
Early redemption of Cap Gemini “ORNANE” October 5, 2016
Capgemini Liquidity Contract Transfer October 3, 2016
Notice of publication of the First half 2016 financial report August 3, 2016