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Half-year review of VEOM Group's liquidity contract as of June 28, 2024

VEOM Group (Euronext Growth - FR0013530102 - ALVG) publishes the half-yearly report of its liquidity contract entrusted to the company Gilbert Dupont. As of June 28, 2024, the liquidity account included 42,353 VEOM Group securities and €6,064.98 in cash.

During the first half of 2024, transactions totaled the purchase of 377,114 securities for €101,490.89 and the sale of 351,606 securities for €97,003.17. This represents 1,789 buy transactions and 1,446 sell transactions respectively.

For comparison, during the last balance sheet on December 29, 2023, the liquidity account showed 16,845 securities and €10,340.51 in cash. At the origin of the contract, the resources available were 16,441 shares and €110,989.06 in cash.

R. H.

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