sur OSMOZIS (EPA:ALOSM)
Half-yearly review as of 06/30/2024 of the OSMOZIS liquidity contract
OSMOZIS published its half-yearly balance sheet as of June 30, 2024 for its liquidity contract. This is managed by TSAF – Tradition Securities And Futures. As of June 30, 2024, the liquidity account showed 11,386 OSMOZIS shares and €132,933.43 in cash.
It should be noted that the liquidity contract has been suspended since May 28, 2024. As a reminder, the half-year balance sheet as of December 31, 2023 showed 11,109 shares and €135,733.39 in cash.
During the first half of 2024, 2,958 shares were purchased and 2,681 shares sold through this contract. The amounts of capital exchanged amounted to €32,201.47 (purchases) and €29,401.51 (sales) respectively.
R. P.
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