Publicis Groupe Half-Year Financial Statement Liquidity Contract

Under the liquidity contract of Publicis Groupe [Euronext Paris: FR0000130577, CAC40] with Kepler Capital Markets SA, the following means were attributable to the liquidity contract at December 31, 2019:

  • 283,250 shares
  • € 4,483,762.61
  • Number of executions on buy side on semester: 994
  • Number of executions on sell side on semester: 1,206
  • Traded volume on buy side on semester: 487,788 shares for € 20,677,742.92
  • Traded volume on sell side on semester: 430,538 shares for € 18,553,905.54

As a reminder:

  • the following resources appeared on the last half year statement on 30 juin 2019 on the
    • liquidity account:
    • 226,000 shares
    • € 6,607,599.99
    • Number of executions on buy side on semester: 933
    • Number of executions on sell side on semester: 1,357
    • Traded volume on buy side on semester: 428,092 shares for € 20,855,376.78
    • Traded volume on sell side on semester: 488,092 shares for € 24,801,704.30
       
  • the following resources appeared on the liquidity account when the activity started:
    • 0 shares
    • € 15,000,000.00

The liquidity agreement complies with AMF Decision n° 2018-01 dated 2nd July 2018, introducing liquidity agreements on equity securities as permitted market practice.

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