billion revenue in 2009
billion 2009 recurring operating income in 2009
billion of free cash flow from operating activities in 2009
of revenue generated outside France in 2009
billion of online sales in 2009
employees in 2009
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French Commercial Paper program (Billet de trésorerie)
| Issuer | PPR Finance SNC |
| Amount | 4 Billion EUR |
| Agent | Natixis |
| Maturities | Only short-term (up to one year) |
| Outstanding amount as of 30/06/2010 | 915.2 Million EUR |
| Rating | PPR Finance has an "A3" short-term credit rating from Standard & Poor's |
Further information
Documentation of the "Billet de trésorerie" in French
Financial presentation July 2010 (.pdf - 4,8 Mo) - In French only
PPR - EMTN Program - Base Prospectus - DISCLAIMER
The following information is intended uniquely for interested parties who are not resident in the US. The forwarding of the information to third parties, by any means and in any format, is strictly prohibited. The Base Prospectus does not constitute an offer, or a recommendation, to buy or to sell any securities.
In accessing this site and giving your acceptance below, you confirm that you are not resident in the US and agree to comply with the above provisions.
| Accept | Decline |
EMTN Program
| Issuer | PPR SA |
| Amount | 5 Billion EUR |
| Arranger | Morgan Stanley |
| Dealers | BNP Paribas, Crédit Agricola - CIB, Deutsche Bank, HSBC, JP Morgan, Natixis, Morgan Stanley, Société Générale |
| Maturities | Medium – long term |
| Issuance | Public Syndicated and private placement |
| Fiscal & Paying Agent | BNP Paribas Luxembourg |
| Rating | PPR has a "BBB-" à long-term stable outlook rating from Standard & Poor's |
Informations complémentaires:
Download the Base prospectus (.pdf - 533 Ko)
Download the supplement 03/18/2009 (.pdf - 18 Ko)
Download the supplement 04/28/2009 (.pdf - 74 Ko)
Download the base prospectus summary in French (.pdf - 48 Ko)
Download the base prospectus summary in Dutch (.pdf - 62 Ko)
Download the Final Terms 04/28/2009 (.pdf - 78 Ko)
Download the Notice early closing PPR (.pdf - 25 Ko)
Download the Supplement final terms (.pdf - 36 Ko)
Crédit Syndiqué
| Issuer | PPR SA & PPR Finance SNC |
| Amount | 2.75 Billion EUR |
| Maturity | 21 March 2010* |
| Facility Agent | Calyon |
| Arrangers | BNP Paribas, Calyon, CCF, IXIS Corporate & Investment Bank, The Royal Bank of Scotland PLC, SG Corporate & Investment Banking |
*:In the first half of 2006, PPR exercised its right to extend virtually its entire syndicated loan by two years. The loan will now mature in March 2012.
| Issuer | PPR SA, PPR Finance SNC & Sapardis SA |
| Amount | 1.50 Billion EUR |
| Maturity | 26 June 2012* |
| Arrangers | SG Corporate & Investment Banking, The Royal Bank of Scotland PLC, BNP Paribas, Natixis, Calyon |
*:In the first half of 2008, PPR exercised its right to extend virtually three fourth of its syndicated loan by one year. The loan will now mature in June 2013.





















