on KAUFMAN & BROAD (EPA:KOF)
Kaufman & Broad Reports Half-Year Liquidity Contract Status
On July 4th, 2025, Kaufman & Broad SA announced the status of its half-year liquidity contract as of June 30th, 2025. According to the contract with Rothschild & Co CMS, the liquidity account contains 2,500 securities and cash amounting to €1,404,112. Between January 1st and June 30th, 2025, the company executed 5,530 purchase transactions totaling €8,712,826.03 and 5,465 sales transactions totaling €8,651,679.06.
As of the end of 2024, the account held no securities, but contained €1,465,259 in cash. This information highlights the company's active engagement in buying and selling activities within the market, indicating a strategic approach to managing liquidity.
R. E.
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