BRIEF

on MAUREL & PROM (EPA:MAU)

Half-Year Liquidity Contract Statement by Maurel & Prom

Paris, 2 July 2024 - Under the liquidity contract between Etablissements Maurel et Prom and Kepler Cheuvreux, the resources on the liquidity account as of June 30, 2024, included 67,664 shares and € 979,142.60. The semester saw 1,497 buy-side executions totaling 660,501 shares for € 3,822,170.71, and 1,478 sell-side executions totaling 664,352 shares for € 3,892,353.60.

Comparatively, on December 31, 2023, there were 71,515 shares and € 890,644.93. For that semester, 2,027 buy-side executions totaled 1,009,189 shares for € 5,108,909.50, and 2,250 sell-side executions totaled 1,061,110 shares for € 5,302,013.70.

At contract initiation, the liquidity account held 117,899 shares and € 671,391.40. This report complies with AMF Decision N°2021-01 renewing liquidity contracts for shares as accepted market practice.

R. H.

Copyright © 2024 FinanzWire, all reproduction and representation rights reserved.
Disclaimer: although drawn from the best sources, the information and analyzes disseminated by FinanzWire are provided for informational purposes only and in no way constitute an incentive to take a position on the financial markets.

Click here to consult the press release on which this article is based

See all MAUREL & PROM news