on CREDIT AGRICOLE DE NORMANDIE SEINE (EPA:CCN)
Half-Yearly Review of the Liquidity Contract for Crédit Agricole Normandie Seine
Crédit Agricole Normandie Seine presented its half-yearly balance sheet as of June 30, 2025, regarding the liquidity contract managed by Kepler Cheuvreux. As of that date, the liquidity account contained 4,186 securities and €235,664.82 in cash. Over the half-year, 308 buy and 348 sell transactions were executed. Trading volumes reached 3,125 securities for €300,037.75 for buy and 3,951 securities for €378,699.15 for sell.
Compared to the balance sheet as of December 31, 2024, liquidity has increased, while the number of securities has slightly decreased compared to the initial volume when the contract was set up. This transaction is part of AMF Decision No. 2021-01, which authorizes liquidity contracts in accordance with market practices.
R. E.
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