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 articlesAFYREN provides business update and announces a €10 million sustainable financing for its subsidiary AFYREN NEOXY
Press releaseArticle : The future is regenerative: circular bioeconomy with fully sustainable solutions
PublicationAFYREN obtains new financing of 9 million euros to support the start-up of AFYREN NEOXY
Press releaseAFYREN awarded Silver Medal by ECOVADIS with an improved score
Press release#INSPIRINGTALKS – Part 2 – How the lubricant industry took action to lower its carbon footprint – A discussion with Apu Gosalia, also known as “The Sustainalyst”
News postAFYREN announces signing of new commercial contract with US nutraceutical maker
Press release