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Ipsen Capital/Financing Update 2015

Jul 3, 2015

1449_rns_2015-07-03_57e89cd9-b70b-4e35-9ab9-431b4730dff5.pdf

Capital/Financing Update

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Half-year IPSEN liquidity contract statement entered into with NATIXIS

Paris (France), July 3, 2015 – Under the liquidity contract entered into between IPSEN and NATIXIS, the following resources were listed in the liquidity account as at June 30, 2015:

  • 22 508 titres IPSEN
  • 2 928 107,3 €

At the last half-year IPSEN liquidity contract statement as at December 31, 2014, the following resources were listed in the liquidity account:

  • 4 657 titres IPSEN
  • 3 697 130,94 €

It is specified that at the implementation of the said contract the following resources were listed in the liquidity account:

  • 46,838 IPSEN shares
  • 1,259,939.79 euros