Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

Prodways Group Capital/Financing Update 2020

Jan 6, 2020

1612_rns_2020-01-06_393d0d5f-34fd-4eb6-8019-21d7eb8fc15a.pdf

Capital/Financing Update

Open in viewer

Opens in your device viewer

{# SEO P0-1: filing HTML is rendered server-side so Googlebot sees the full text without executing JS or following an iframe to a Disallow'd CDN path. The content has already been sanitized through filings.seo.sanitize_filing_html. #}

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