03.07.2013 18:52:00
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CORRECTING AND REPLACING : Half-Yearly Summary of the Liquidity Contract of Cegedim
This replaces the announcement made at 6:20 pm on July 2nd, due to the following corrections: cash on June 28th was €41,735.20 instead of €49,866.44.
Half-Yearly Summary of the Liquidity Contract of Cegedim
In respect of the liquidity contract granted by Cegedim to CA Cheuvreux; on June 28th, 2013, the following resources were recorded in the liquidity account:
- Number of shares: 13,996
- Cash: €49,866.44
Note that at the time of the last half-yearly summary on December 31th, 2012, the following resources were recorded in the liquidity account:
- Number of shares: 14,000
- Cash: €41,538.47
137, rue d'Aguesseau ¦ F 92641 Boulogne-Billancourt Cedex ¦ Tel: +33
(0)1 49 09 22 00 ¦ Fax: +33 (0)1 46 03 45 95 ¦ www.cegedim.com
Cegedim
– S.A. au capital de 8 891 004,61 € - 350 422 622 R.C.S. NANTERRE – NAF
6311Z – N° de TVA CEE FR 17 350 422 622
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