Kaufman & Broad SA
Kaufman & Broad SA: HALF-YEAR LIQUIDITY CONTRACT STATEMENT FOR KAUFMAN & BROAD SA

07-Jan-2022 / 16:10 CET/CEST
Dissemination of a French Regulatory News, transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.


Press release

 Paris, Janvier 7th, 2022

 

 

 

Half-year
liquidity contract statement
for kaufman & broad SA

 

 

 

 

 

In accordance with the liquidity contract signed by Kaufman & Broad SA with the bank Rothschild Martin Maurel on December 31st, 2021, the liquidity account held the following assets:

 

  • Securities: 4 000
  • Cash: ?1,518,953.00

 

 

Reminding liquidity contract on June 30th, 2021, the liquidity account held the following assets:

 

  • Securities: 0
  • Cash: ?1,522,709.00

 

 

 

 

This press release is available on the www.kaufmanbroad.fr

 

 

Contacts

 

Chief Financial Officer

Bruno Coche

01 41 43 44 73

Infos-invest@ketb.com

 

Press Relations

DGM Conseil

Thomas Roborel de Climens - +33 6 14 50 15 84

thomasdeclimens@dgm-conseil.fr

 

 

Kaufman & Broad : Emmeline Cacitti

+33 (0)6 72 42 66 24 / ecacitti@ketb.com

 

 

 

About Kaufman & Broad - Kaufman & Broad has been designing, building, and selling single-family homes in communities, apartments, and offices on behalf of third parties for more than 50 years. Kaufman & Broad is one of the leading French developers-builders due to the combination of its size and profitability, and the strength of its brand.

 

This press release is prepared in accordance with Articles 212-4, 5° and 212-5, 6° of the General Regulation of the AMF and the Article 19 of AMF Official Line DOC-2016-14.

 

 


Regulatory filing PDF file

File: Half-year Liquidity contract december 31th 2021

1266311  07-Jan-2022 CET/CEST

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