Home » Half-yearly liquidity contract report
Half-yearly liquidity contract report

Clermont-Ferrand/Lyon, 10 July 2024 at 6.00 p.m.
Under the liquidity contract signed by AFYREN with NATIXIS ODDO BHF on 2 November 2021, the following assets were included in the liquidity account at 30 June 2024:
- Number of shares: 69,875
- Cash balance of liquidity account: €84,221.5
During the 1st half of 2024, a total of :
PURCHASE: 322,048 shares – €662,646 – 2,237 transactions
SELLING: 326,096 shares – €689,010 – 2,404 transactions
When this contract was implemented, the following resources were included in the liquidity account:
- Number of shares: 0 shares
- Cash balance of liquidity account: €300,000.00
In April 2023, AFYREN increased the resources allocated to the liquidity contract by €150,000.
LATEST NEWS
Read our articles and press releases to find out more and discover the world of sustainable industry.
View all articles
AFYREN announces the availability of its 2024 annual financial report
Press release
AFYREN provides business update and announces a €10 million sustainable financing for its subsidiary AFYREN NEOXY
Press release
Article : The future is regenerative: circular bioeconomy with fully sustainable solutions
Publication
AFYREN obtains new financing of 9 million euros to support the start-up of AFYREN NEOXY
Press release