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SEC Filings

FIDELITY NATIONAL INFORMATION SERVICES, INC. filed this Form 425 on 05/17/2019
Entire Document

Annex E

Filed Pursuant to Rule 433

Registration Statement No. 333-212372

Pricing Term Sheet


Pricing Term Sheet

€500,000,000 Floating Rate Senior Notes due 2021 (“Floating Rate Notes”)

€500,000,000 0.125% Senior Notes due 2021 (“2021 Euro Notes”)

€1,250,000,000 0.750% Senior Notes due 2023 (“2023 Euro Notes”)

€1,250,000,000 1.500% Senior Notes due 2027 (“2027 Euro Notes”)

€1,000,000,000 2.000% Senior Notes due 2030 (“2030 Euro Notes”)

€500,000,000 2.950% Senior Notes due 2039 (“2039 Euro Notes”)

£625,000,000 2.602% Senior Notes due 2025 (“2025 Sterling Notes”)

£625,000,000 3.360% Senior Notes due 2031 (“2031 Sterling Notes”)

(“Senior Notes”)

The information in this pricing term sheet supplements the Issuer’s Preliminary Prospectus Supplement, dated May 14, 2019, and supersedes the information in the Preliminary Prospectus Supplement to the extent it is inconsistent with the information contained therein. The pricing term sheet is qualified in its entirety by reference to the Preliminary Prospectus Supplement. Financial information presented in the Preliminary Prospectus Supplement or incorporated by reference therein is deemed to have changed to the extent affected by the changes described herein. This pricing term sheet should be read together with the Preliminary Prospectus Supplement, including the documents incorporated by reference therein, and the accompanying Prospectus dated July 1, 2016 before making a decision in connection with an investment in the securities. Capitalized terms used in this pricing term sheet but not defined have the meanings given to them in the Preliminary Prospectus Supplement.

Floating Rate Notes


Issuer    Fidelity National Information Services, Inc.
Expected Ratings (Moody’s/S&P/Fitch)*    [Reserved]
Principal Amount    €500,000,000
Trade Date    May 14, 2019
Settlement Date    T+5; May 21, 2019
Maturity Date    May 21, 2021
Price to Public    100.000%
Base Rate    EURIBOR
Index Maturity    Three-month
Coupon (Interest Rate)    Three-month EURIBOR plus 40 basis points (reset quarterly)
Interest Rate Reset Dates    February 21, May 21, August 21 and November 21, commencing August 21, 2019