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Prodways Group — Capital/Financing Update 2020
Jan 6, 2020
1612_rns_2020-01-06_393d0d5f-34fd-4eb6-8019-21d7eb8fc15a.pdf
Capital/Financing Update
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Half-year report on the liquidity contract
Paris, 6 January 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 31 December 2019:
- Number of PRODWAYS GROUP shares: 45,316
- Cash balance: €69,638.69
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 second half of 2019, a total of:
| Purchase | 82,364 shares | €210,660.81 | 96 transactions |
|---|---|---|---|
| Sell | 73,251 shares | €188,467.31 | 92 transactions |
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