RUBIS 09-Jul-2019 / 17:35 CET/CEST This document is a translation of the original French document and is provided for information purposes only.
Under the liquidity contract signed between RUBIS and EXANE BNP PARIBAS, the following resources appeared on the liquidity account on June 30, 2019:
During the first half of 2019, the following total of shares was negotiated:
For information, at the time of the last assessment on December 31, 2018, the following resources were available:
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Paris, July 9, 2019 – 5:35 p.m.
Name of the Issuer:
RUBIS Partnership limited by shares with a capital of 121,697,246.25 euros 784 393 530 RCS PARIS – Code APE 6420Z Head Office: 46, rue Boissière – 75116 Paris – France
Contact: Maura Tartaglia Tel : +33 (0)1 44 17 95 95 Email : m.tartaglia@rubis.fr
Regulatory filing PDF file Document title: Correction of a release from 03.07.2019, 17:35 CET/CEST – RUBIS: Half-year statement on the liquidity contract signed between Rubis and Exane BNP Paribas |
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Language: | English |
Company: | RUBIS |
46, rue Boissière | |
75116 Paris | |
France | |
Phone: | +33 144 17 95 51 |
Fax: | +33 145 01 72 49 |
E-mail: | communication@rubis.fr |
Internet: | www.rubis.fr |
ISIN: | FR0013269123 |
Euronext Ticker: | RUI |
AMF Category: | Share buyback / Disposal of own shares / Information relating to the liquidity contract |
EQS News ID: | 838653 |
End of Announcement | EQS News Service |