BRIEF published on 08/14/2025 at 18:05, 11 months 19 days ago OPmobility Reports Voting Rights as of July 2025 Share Capital Voting Rights Financial Markets OPmobility July 2025
REGULATED PRESS RELEASE published on 08/14/2025 at 18:00, 11 months 19 days ago Declaration of voting rights at the end of July 2025 OPmobility discloses the number of shares and voting rights as of 31/07/2025, highlighting its global leadership in sustainable mobility and innovative solutions Innovation Voting Rights Shares Sustainable Mobility OPmobility
BRIEF published on 07/30/2025 at 08:49, 1 year ago OPmobility Issues €300 Million 5.5-Year Bond Euronext Paris Investor Confidence Bond Issuance Diversification Strategy OPmobility
REGULATED PRESS RELEASE published on 07/30/2025 at 08:44, 1 year ago OPmobility successfully issued a €300 million 5.5 year bond OPmobility issues a €300 million 5.5-year bond with a 4.30% yield, rated BB+ by S&P Global Ratings. The funds will support general corporate purposes and strategy for sustainable mobility Euronext Paris Sustainable Mobility OPmobility €300 Million Bond BB+ Rating
BRIEF published on 07/24/2025 at 08:13, 1 year ago OPmobility Releases 2025 Interim Results Report Euronext Paris Revenue Sustainable Mobility OPmobility Interim Results
REGULATED PRESS RELEASE published on 07/24/2025 at 08:08, 1 year ago Availability of the 2025 Interim Results Report OPmobility SE announces availability of 2025 Interim Results Report. The report can be accessed on the company's website or requested by post Financial Performance Investor Relations Sustainable Mobility OPmobility SE 2025 Interim Results Report
BRIEF published on 07/24/2025 at 07:05, 1 year ago OPmobility Achieves Solid Half-Year Results Amid Industry Changes Cost Reduction Free Cash Flow Operating Margin Net Debt Economic Revenue
REGULATED PRESS RELEASE published on 07/24/2025 at 07:00, 1 year ago 2025 Half-year results - Press Release OPmobility reports solid half-year results with a significant 11% increase in operating margin driven by cost reduction measures. Free cash flow up to €165 million, and continued deleveraging Cost Reduction Free Cash Flow Half-year Results Operating Margin OPmobility
BRIEF published on 07/09/2025 at 18:05, 1 year ago OPmobility's Half-Year Liquidity Contract Update Liquidity Contract Kepler Cheuvreux Share Transactions OPmobility AMF Regulation
REGULATED PRESS RELEASE published on 07/09/2025 at 18:00, 1 year ago Half-year liquidity contract statement June 30, 2025 OPmobility's semi-annual liquidity contract review with details of transactions executed and volumes exchanged revealed significant activity by the company Liquidity Contract Transactions Financial Review OPmobility Volumes Exchanged
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