sur NRJ GROUP (EPA:NRG)
NRJ Group reduces the resources allocated to its liquidity contract
On September 27, 2024, NRJ Group announced the reduction of the resources of its liquidity contract. This contract, established in 2018 with ODDO BHF SCA and amended in 2019, aims to stimulate the market for NRJ Group shares (ISIN: FR0000121691).
In order to comply with AMF Decision No. 2021-01 of June 22, 2021, NRJ Group noted as of August 31, 2024 that dedicated resources exceeded 2 million euros. In response, the company decided to reduce these resources by a withdrawal of 200,000 euros, effective September 26, 2024.
Following this withdrawal, NRJ Group's liquidity account held a total of 177,945 shares and 543,466.22 euros in cash as of September 26, 2024.
R. H.
Copyright © 2024 FinanzWire, tous droits de reproduction et de représentation réservés.
Clause de non responsabilité : bien que puisées aux meilleures sources, les informations et analyses diffusées par FinanzWire sont fournies à titre indicatif et ne constituent en aucune manière une incitation à prendre position sur les marchés financiers.
Cliquez ici pour consulter le communiqué de presse ayant servi de base à la rédaction de cette brève
Voir toutes les actualités de NRJ GROUP