on KAUFMAN & BROAD (EPA:KOF)
Kaufman & Broad SA: Half-Year Liquidity Report for June 2026
On July 3, 2026, Kaufman & Broad SA released its half-year liquidity statement in collaboration with Rothschild Martin Maurel. As of June 30, 2026, the liquidity account held 3,000 securities and a cash balance of €1,398,596. Throughout the first half of the year, the company executed 5,071 purchase transactions involving 260,601 shares worth €7,438,638.96, alongside 4,783 sales transactions for 257,601 shares valued at €7,362,596.08.
As of December 31, 2025, the liquidity account maintained no securities but held €1,474,639 in cash. Effective July 1, 2026, Rothschild & Co Global Markets Solutions assumed management of the liquidity contract without altering its terms or allocated resources.
R. E.
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