R E L E A S E

D I S C L O S U R E O F T R A D I N G I N O W N S H A R E S F R O M A U G U S T 1 3 , 2 0 1 9 T O A U G U S T 1 9 , 2 0 1 9

P a r i s - A u g u s t 2 0 , 2 0 1 9

As announced in a press release dated February 06, 2019, Klépierre mandated an investment services provider to repurchase its own shares. The following table sums up the buyback transactions carried out by said provider between August 13 and August 19, 2019:

Daily

weighted

Identification code of

Identification

Aggregated

average

issuer

code of

daily volume

price of the

Name of

(Legal Entity

Transaction

financial

Market

(in number of

purchased

issuer

Identifier)

date

instrument

(MIC Code)

shares)

shares *

Klépierre

969500PB4U31KEFHZ621

2019-08-13

FR0000121964

XPAR

58,000

26.98

Klépierre

969500PB4U31KEFHZ621

2019-08-14

FR0000121964

XPAR

59,000

26.90

Klépierre

969500PB4U31KEFHZ621

2019-08-15

FR0000121964

XPAR

59,000

26.84

Klépierre

969500PB4U31KEFHZ621

2019-08-16

FR0000121964

XPAR

57,500

27.05

Klépierre

969500PB4U31KEFHZ621

2019-08-19

FR0000121964

XPAR

58,000

27.43

TOTAL

291,500

27.04

* Two-digit rounding after the decimal

The detailed reporting is available:

  • On Klépierre's website www.klepierre.com in the section: Finance / Regulated disclosures;
  • Or directly at the following URL:http://www.klepierre.com/content/uploads/2019/08/D%C3%A9claration- des-transactions-sur-actions-propres-r%C3%A9alis%C3%A9es-du-13_au_19_aout_2019.pdf

Attachments

  • Original document
  • Permalink

Disclaimer

Klépierre SA published this content on 20 August 2019 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 20 August 2019 17:12:04 UTC