Kaufman & Broad SA
Kaufman & Broad SA: HALF-YEAR LIQUIDITY CONTRACT STATEMENT FOR KAUFMAN & BROAD SA
05-Jan-2023 / 12:12 CET/CEST
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Press release
Half-year liquidity contract statement for kaufman & broad SA
Paris, January 5th, 2023
In accordance with the liquidity contract signed by Kaufman & Broad SA with the bank Rothschild Martin Maurel on December 31st, 2022, the liquidity account held the following assets:
- Securities: 0
- Cash: €1,453,848.00
Over the period from 07/01/2022 to 12/31/2022, a total of:
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Number of transactions carried out
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Number of shares traded
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Amount in € of transactions
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Purchase
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1,134
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112,672
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2,761,923.37
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Sale
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1,570
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132,937
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3,321,671.27
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Reminding liquidity contract on June 30th, 2022, the liquidity account held the following assets:
- Securities: 20,265
- Cash: €894,100.00
Ce communiqué est disponible sur le site www.kaufmanbroad.fr
About KAUFMAN & BROAD
For more than 50 years, KAUFMAN & BROAD has been designing, developing, building and selling apartments, single-family homes in communities, managed housing, retail areas, business spaces and offices buildings.
As a designer and a true urban builder alongside regional authorities to develop new neighbourhoods and major urban projects, KAUFMAN & BROAD is one of the first French Developers-Builders by the combination of its size, profitability and the strength of its brand.
Let us create a more virtuous city together.
For more information : www.kaufmanbroad.fr
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Regulatory filing PDF file
File: Kaufman & Broad SA : HALF-YEAR LIQUIDITY CONTRACT STATEMENT FOR KAUFMAN & BROAD SA
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