Company: G
Filing Date: 2025-11-13
Form Type: 424B5
Source: 0001140361-25-041837
Chunk: 189

Company: Genpact LTD
Filing Date: 2025-11-13
Form: 424B5
Chunk 189
---
 adjustment in the exercise price of, the warrants, if any; |

| • | any redemption or call provisions; and |

| • | any additional terms of the warrants, including terms, procedures and limitations relating to the exchange or exercise of the warrants. |

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TABLE OF CONTENTS

DESCRIPTION OF UNITS We may issue units consisting of one or more of the other securities described in this prospectus in any combination, as described in the applicable prospectus supplement. We may issue units in one or more series, which will be described in the applicable prospectus supplement. The applicable prospectus supplement will also describe the following terms of any units:

| • | the designation and the terms of the units and the securities constituting the units, including whether and under what circumstances the securities comprising the units may be traded separately; |

| • | the identity of any unit agent for the units, if applicable, and of any other depositaries, execution or paying agents, transfer agents, registrars or other agents; |

| • | any additional terms of the governing unit agreement, if applicable; |

| • | any additional provisions for the issuance, payment, settlement, transfer or exchange of the units or of the debt securities, common shares, preferred shares or warrants constituting the units; and |

| • | any applicable material U.S. federal income tax consequences. |

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#### TABLE OF CONTENTS

### FORMS OF SECURITIES
Each debt security, depositary share, warrant and unit will be represented either by a certificate issued in definitive form to a particular investor or by one or more global securities representing the entire issuance of securities. Unless the applicable prospectus supplement provides otherwise, certificated securities in definitive form and global securities will be issued in registered form. Definitive securities name you or your nominee as the owner of the security, and in order to transfer or exchange these securities or to receive payments other than interest or other interim payments, you or your nominee must physically deliver the securities to the trustee, registrar, paying agent or other agent, as applicable. Global securities name a depositary or its nominee as the owner of the debt securities, depositary shares, warrants or units represented by these global securities. The depositary maintains a computerized system that will reflect each investor’s beneficial ownership of the securities through an account maintained by the investor with its broker/dealer, bank, trust company or other representative, as we explain more fully below.

#### Registered Global Securities
We may issue the debt securities of a particular series, deposit