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NRJ Group — Capital/Financing Update 2012
Jan 17, 2012
1560_rns_2012-01-17_169f94fe-f217-4ff5-834a-2ac3e5bf507f.pdf
Capital/Financing Update
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Paris, 17 January 2012
NRJ GROUP Half year liquidity contract statement as at 30 December 2011
Under the liquidity contract signed between NRJ GROUP and Rothschild & Cie Banque, the following assets were booked to the liquidity account as of 30 December 2011:
- 70,011 Titres
- 1,735,489.00 €
It is remind that the following assets were booked to the liquidity account as of 30 June 2011:
- 8,413 Titres
- 2,136,403.00 €
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