Publicis Groupe half-year financial statement liquidity contract

Under the liquidity contract of Publicis Groupe with KEPLER CAPITAL MARKETS SA, the following means were attributable to the liquidity contract at June 30, 2016:

  • €10,590,047.41

It is reminded that at December 31, 2015, the following means appeared in the contract:

  • €10,746,728.17

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