PRESS RELEASE published on 02/12/2025 at 18:00, 1 year 6 months ago Chiffre d'affaires du 1er trimestre 2024-2025 : 117,8 M EUR (+3,4%) Le Groupe CAFOM publie son chiffre d'affaires non audité du 1er trimestre 2024-2025, en hausse de 3,4%. Progression du e-Commerce en Europe continentale (+11,3%) E-commerce Chiffre D'affaires Croissance CAFOM 1er Trimestre
BRIEF published on 02/07/2025 at 19:05, 1 year 6 months ago Rachat d'Actions Propres par Cafom Rachat D'actions Bourse CAFOM Marché Euro Aménagement Maison
BRIEF published on 02/07/2025 at 19:05, 1 year 6 months ago Repurchase of Own Shares by Cafom Share Buyback Sotck Exchange Home Improvement CAFOM Euro Market
PRESS RELEASE published on 02/07/2025 at 19:00, 1 year 6 months ago RACHAT DE 1 071 ACTIONS PROPRES EFFECTUE DANS LES CONDITIONS DE L'ARTICLE 5 DU REGLEMENT ABUS DE MARCHE (MAR) Cafom, acteur majeur de l'équipement de la maison, annonce le rachat de 1 071 de ses propres actions. Le Groupe est présent en Europe et en Outremer Rachat D'actions Europe CAFOM Équipement Maison Outremer
BRIEF published on 01/31/2025 at 18:05, 1 year 7 months ago CAFOM dévoile ses résultats annuels 2023-2024 E-commerce Résultats Annuels CAFOM Endettement Outre-Mer
BRIEF published on 01/31/2025 at 18:05, 1 year 7 months ago CAFOM unveils its 2023-2024 annual results E-commerce Annual Results Debt Overseas CAFOM
PRESS RELEASE published on 01/31/2025 at 18:00, 1 year 7 months ago Résultats annuels 2023-2024 Le Groupe CAFOM annonce ses résultats annuels 2024 : chiffre d'affaires en progression, marge brute augmentée de plus d'un point. Analyse des performances du pôle Outre-Mer et du pôle e-Commerce Europe continentale Résultats Annuels Performance Groupe CAFOM Outre-Mer E-Commerce Europe
BRIEF published on 01/20/2025 at 19:05, 1 year 7 months ago Bilan semestriel du contrat de liquidité de CAFOM SA Marché Financier Transactions Liquidité Semestriel CAFOM
BRIEF published on 01/20/2025 at 19:05, 1 year 7 months ago Half-yearly report on the CAFOM SA liquidity contract Liquidity Transactions Financial Market Half-yearly CAFOM
PRESS RELEASE published on 01/20/2025 at 19:00, 1 year 7 months ago BILAN SEMESTRIEL DU CONTRAT DE LIQUIDITE Bilan semestriel du contrat de liquidité octroyé à TP ICAP (Europe) pour les actions de CAFOM SA (FR0010151589 – CAFO FP) avec détails des moyens au 31/12/2024 Contrat De Liquidité TP ICAP AMF CAFOM SA ACPR
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