PRODWAYS : Half-year report on the liquidity contract

Paris, 8 July 2020, 6:00 p.m.,

Under the liquidity contract granted by PRODWAYS GROUP to brokerage firm PORTZAMPARC-BNP PARIBAS GROUP, the following resources were listed in the liquidity account on 30 June 2020:

Number of PRODWAYS GROUP shares: 55,052 Cash balance: €49,310.04

For the record, at the time of the implementation of the liquidity contract dated 31 December 2018, the following resources had been allocated to the liquidity account:

Number of PRODWAYS GROUP shares: 49,723 Cash balance: €47,711.26

During the first half of 2020, a total of:

Purchase 148,014 shares  €330,496.95 335 transactions Sell 138,278 shares  €310,168.30 310 transactions
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Regulated information:
Acquisition or disposal of the issuer's own shares:
- Information relating to the liquidity contract

Full and original press release in PDF: https://www.actusnews.com/news/64223-prodways-group_full-year-report-on-the-liquidity-contract-30.06.2020.pdf

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