Back to top

Half-year liquidity contract statement


Corporate & other activities, Finance

Paris, January 18, 2024

In accordance with the provisions of the French Financial Markets Authority’s decision n° 2021-01 of 22 June 2021, renewing the establishment of liquidity contracts as an accepted market practice, LAGARDERE SA informs the public of the implementation of the liquidity contract entered into with BNP PARIBAS FINANCIAL MARKETS (whose previous name was BNP PARIBAS ARBITRAGE), for the second half of 2023:

  • Resources available on December 31, 2023: 29,987 shares and €438,021 in cash
  • Number of executions on buy side on semester: 821
  • Number of executions on sell side on semester: 685
  • Traded volume on buy side on semester: 74,108 shares for €1,476,445
  • Traded volume on sell side on semester: 63,237 shares for €1,254,392

It is also reminded that as of the date of the signature of the liquidity contract, on September 19, 2022, the resources available provided for were 0 share and € 1,000,000.

The aggregated data for each trading day of the second half of 2023 are as set out in appendix of this release.

Email alert

To receive institutional press releases from the Lagardère group, please complete the following fields: