Publicis Groupe Half-Year Financial Statement Liquidity Contract

Under the liquidity contract of Publicis Groupe [Euronext Paris: FR0000130577, CAC40] with Kepler Capital Markets SA, the following means were attributable to the liquidity contract at December 31, 2019:

  • 283,250 shares
  • € 4,483,762.61
  • Number of executions on buy side on semester: 994
  • Number of executions on sell side on semester: 1,206
  • Traded volume on buy side on semester: 487,788 shares for € 20,677,742.92
  • Traded volume on sell side on semester: 430,538 shares for € 18,553,905.54

As a reminder:

  • the following resources appeared on the last half year statement on 30 juin 2019 on the
    • liquidity account:
    • 226,000 shares
    • € 6,607,599.99
    • Number of executions on buy side on semester: 933
    • Number of executions on sell side on semester: 1,357
    • Traded volume on buy side on semester: 428,092 shares for € 20,855,376.78
    • Traded volume on sell side on semester: 488,092 shares for € 24,801,704.30
       
  • the following resources appeared on the liquidity account when the activity started:
    • 0 shares
    • € 15,000,000.00

The liquidity agreement complies with AMF Decision n° 2018-01 dated 2nd July 2018, introducing liquidity agreements on equity securities as permitted market practice.

Publicis Groupe and Google Analytics use cookies that are strictly necessary for the operation of the site and in order to compile statistics of visits in order to improve its operation and its services.

You can express your choices by using the three dedicated buttons below and, at any time, modify your cookie preferences by clicking on the "Cookie management" link at the bottom of all pages.
For more information, please consult our Privacy Policy and Cookies Policy