Cegedim: INCREASE OF MEANS OF THE LIQUIDITY CONTRACT
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Financial Information
SHARE BUYBACK PROGRAMME
INCREASE OF MEANS OF THE LIQUIDITY CONTRACT
WITH KEPLER CHEUVREUX
Boulogne-Billancourt, April 30, 2024
CEGEDIM SA (ISIN: FR0000053506) has entrusted Kepler Cheuvreux with the implementation of a liquidity contract for its ordinary shares admitted to trading on Euronext Paris, under a contract dated 8 June 2008, amended by an Addendum dated 14 February 2019 (Addendum No. 1), by an Addendum dated 8 October 2020 (Addendum No. 2) and by an Addendum dated 6 February 2023 (Addendum No. 3).
On April 30, 2024, in accordance with article 4 of the AMF decision no. 2021-01 of 22 June 2021 renewing the introduction of liquidity contracts for equity securities as an accepted market practice, CEGEDIM SA increased the resources allocated to the liquidity contract by:
One hundred thousand euros (€100,000)
The balance, after adding the aforementioned resources, on April 30, 2024 is:
13,912 Shares
137,162.74 euros
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