Half-year statement of the liquidity contract subscribed with CM-CIC Securities
on bonds with a maturity date of July 18th, 2017
(FR 0011287879)

Foncière de Paris SIIC entrusted CM-CIC Securities with the management of the liquidity contract. On December 31st, 2016, the following assets were allocated to the liquidity account:

  • 0 « 2017 bond »,
  • €201,151.37 € in cash.

I It is reminded that the following assets were allocated to the liquidity account on June 30th, 2016:

  • 0 « 2017 bond »,
  • €201,151.37 € in cash.

Paris, on January 12h, 2017

FONCIERE DE PARIS SIIC
Limited company with an Executive Board and a Supervisory board
With a capital of €154,426,125 -Paris Trade and Company Register no. B 331 250 472
43, rue Saint Dominique - 75007 Paris
Phone: 01 53 70 77 77 - Fax: 01 53 70 77 78
ISIN Code: FR 0000034431 - Share ticket: FDPA
www.fonciere-de-paris.fr

FDP-PR-HY statement of LC on 2017 bonds



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Source: Foncière de Paris SIIC via Globenewswire