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Prodways Group Capital/Financing Update 2019

Jul 3, 2019

1612_rns_2019-07-03_79fd9dd5-f62b-48b6-94ed-878b9cbe9e4d.pdf

Capital/Financing Update

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Paris, July 3, 2019, at 6:00 PM,

Half-year report on the liquidity contract

Under the liquidity contract granted by PRODWAYS GROUP to brokerage firm PORTZAMPARC Société de Bourse, the following assets appeared on the liquidity account as at 30 June 2019:

  • Number of shares: 36,203
  • Cash balance: €91,382.19

For the record, at the time of the implementation (effective date of the contract in accordance with AMF decision n°2018-01 of 2 July 2018 - report dated 31 December 2018) the following assets appeared on the liquidity account:

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

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