on CERINNOV GROUP (EPA:ALPCV)
Half-yearly report of the Cerinnov Group Liquidity Contract
On January 7, 2025, Cerinnov Group published the half-yearly balance sheet of its liquidity contract with Portzamparc - BNP Paribas Group. As of December 31, 2024, the contract showed 10,651 shares and €7,159.73 in cash. This represents an increase compared to 9,456 shares and €9,301.35 as of June 30, 2024.
Compared to the contract launch on December 31, 2018, cash and securities were respectively 38,085.62 euros and 11,229 securities, showing a notable disparity. In the second half of 2024, 38,498 securities were purchased for 42,286.79 euros, while 37,303 securities were sold for 40,145.17 euros, indicating significant trading activity.
R. E.
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