on OPMobility (EPA:OPM)
OPmobility Half-Year Liquidity Contract Statement June 30, 2024
Paris, July 8, 2024 - OPmobility, under its liquidity contract managed by Kepler Cheuvreux, reported the following figures as of June 30, 2024:
The liquidity account comprised 379,635 shares and €25,924.69 in cash. The number of buy transactions executed over the semester was 2,430, trading 1,234,150 shares worth €13,893,848.88. Conversely, the number of sell transactions was 2,326, trading 1,177,489 shares worth €13,318,082.58
At the previous statement on December 31, 2023, the liquidity account held 322,974 shares and €595,518.48 in cash. Transactions executed during that semester included 2,303 buys and 2,055 sells, with respective volumes of 900,667 shares (€11,676,288.78) and 821,060 shares (€10,780,166.00).
Initially, the liquidity account held no shares and €3,000,000.00 in cash. The balance is implemented per AMF decision no. 2021-01 of June 22, 2021, on liquidity contracts for equity securities as an accepted market practice.
R. P.
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