Boulogne Billancourt, July 5th, 2018
Half-yearly summary of the liquidity contract of CEGEDIM
In respect of the liquidity contract granted by Cegedim to Kepler Capital Markets SA; on June 30th, 2018; the following resources were recorded in the liquidity account:
Number of shares: 11,230
Cash: €58,339.87
Note that at the time of the last half-yearly summary on December 31th, 2017; the following resources were recorded in the liquidity account:
Number of shares: 4,900
Cash: €279,701.77
The issuer of this announcement warrants that they are solely responsible for the content, accuracy and originality of the information contained therein.
Source: Cegedim SA via Globenewswire