SECURITIES REPURCHASING PROGRAMME
(Decided by the annual shareholders’ meeting of
Disclosure of trading in own shares
Period from 8 to
Issuer :
LEI : 549300SOSI58J6VIW052
Types of securities: ordinary shares (ISIN : FR 0000121261)
Full details of the programme disclosed on
Purchases effected during the period:
1 Trading days | 2 Numbers of shares purchased (*) | 3 Weighted average unit prices of transactions (in €) | 4 Amounts (in €) | 5 Purpose of redemption | 6 Market |
| NONE | - | - | - | - |
| 6’829 | 104,5951 | 714’280,00 | Annulation | OTC |
Totals of columns 2 and 4, and weighted average unit price of purchases effected during the period (column 3) | 6’829 | 104,5951 | 714’280,00 | - | - |
(*) Shares purchased through a derivative instrument are included. Are excluded transactions carried out in connection with the execution of a contract to increase share market liquidity.
Attachment
- Modèle EN déclaration hèbdo
13.01.2020
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