NACON

Société anonyme governed by a Board of Directors with share capital of €84,908,919

Registered office: 396/466, Rue de la Voyette, CRT 2, 59273 Fretin, France

Registration number: 852 538 461 RCS Lille Métropole

(the "Company")

UNIVERSAL REGISTRATION DOCUMENT

This universal registration document was approved on 6 July 2021 by the Autorité des Marchés Financiers ("AMF") as the competent authority in respect of regulation (EU) 2017/1129.

The AMF approved this document after verifying that the information it contains is complete, consistent and comprehensible. The URD is approved under number R. 21-037. Such approval should not be construed as a favourable opinion of the issuer subject of this URD.

The URD may be used for the purposes of a public offering of financial securities or the admission of financial securities to trading on a regulated market if accompanied by a securities note and, where applicable, a summary and any supplements to the URD. The whole is approved by the AMF in accordance with regulation (EU) 2017/1129.

The URD is valid until 5 July 2022. In accordance with articles 10 and 23 of regulation (EU) 2017/1129, the URD must be completed by a supplement during that period and at the latest at the same time as the securities note should new significant factors or material errors or inaccuracies occur.

Copies of this universal registration document are available free of charge from Nacon's registered office at 396/466, Rue de la Voyette, CRT 2, 59273 Fretin, and in electronic form from the websites of the AMF (www.amf-france.org)and Nacon (www.nacon.fr).

GENERAL INFORMATION

The Universal Registration Document (URD) describes the Company as it exists on the date this URD was registered.

The URD, prepared in accordance with appendix I of Commission delegated regulation (EU) no. 2019/980 of 14 March 2019 supplementing Regulation (EU) 2017/1129 of the European Parliament and of the Council of 14 June 2017, presents the statutory financial statements for the period ended 31 March 2021 and the corresponding consolidated financial statements.

It incorporates by reference:

  • the consolidated financial statements for the period ended 31 March 2020, which are presented in the universal registration document approved by the AMF on 7 July 2020 under number R. 20-014. Those financial statements were the subject of an audit report issued by the Company's statutory auditors, which contained an emphasis of matter paragraph relating to Note 2.3.1 "Compliance Statement" of the notes to those financial statements, which concerns the first-time application of IFRS 16 "Leases" as of 1 April 2019;
  • the combined financial statements for the period ended 31 March 2019, which are presented in the registration document approved by the AMF on 29 January 2020 under number I. 20-003. Those financial statements were the subject of an audit report issued by one of the Company's statutory auditors, which contained an emphasis of matter paragraph relating to Note 2.1.2 "Basis of preparation of the combined financial statements" of the notes to those financial statements, which describes the combination principles and conventions.

Forward-looking statements

The URD contains information about Nacon's prospects and development strategy. Such information is sometimes identified by the use of the future tense, the conditional mood or forward-looking terms such as "consider", "envisage", "think", "aim", "expect", "intend", "should", "have the ambition of", "estimate", "believe", "wish", "could", or the negative forms of the same terms as the case may be, or any other variant or similar expression. This information does not constitute historical facts and must not be construed as warranting that the anticipated events and data mentioned will actually materialise. The information is based on data, assumptions and estimates that the Company considers reasonable. It is liable to change or be altered due to uncertainties concerning the technological, economic, financial, competitive and regulatory environment. The information is mentioned in various sections of the URD and includes data relating to Nacon's intentions, estimates and objectives concerning, in particular, the Company's markets, products, strategy, commercial roll-out, growth, results, financial position and cash position. The forward-looking information in the URD is provided only at the URD's filing date.

Barring any statutory or regulatory obligation that may apply (including regulation (EU) no. 596/2014 of the European Parliament and of the Council of 16 April 2014 on market abuse), the Company makes no undertaking to publish updates to the forward-looking information contained in this URD in order to reflect any change relating to its objectives or to events, conditions or circumstances on which the forward-looking information in this URD is based. The Company operates in an environment that is highly competitive and subject to ongoing technological change. It may therefore be unable to anticipate all risks, uncertainties or other factors that may affect its business activity, their potential impact on its business activity or the extent to which the materialisation of a risk or combination of risks could produce results significantly different from those mentioned in any forward-looking information, it being understood that none of that forward-looking information is a guarantee of actual results.

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Information about the market and the competition

The URD contains, particularly in Section 5 "Business overview", information about Nacon's business and its competitive position. Some information contained in the URD is information available to the public that the Company considers to be reliable but that has not been verified by an independent expert. The Company cannot guarantee that a third party using different methods for collating, analysing or calculating business segment data would obtain the same results. Given the rapid changes in the technological and competitive environment, this information may prove inaccurate or out-of-date. Accordingly, trends in Nacon's business activities may depart from those presented in this URD. The Company makes no undertaking to publish updates to that information, except as part of applicable legislative or regulatory obligations, including those arising from regulation (EU) no. 596/2014 of the European Parliament and of the Council of 16 April 2014 on market abuse.

Risk factors

Investors are invited to read carefully the risk factors presented in Section 3 "Risk factors" of this URD before making any investment decision. If some or all of these risks were to occur, that could have an adverse impact on Nacon's activities, results, financial position or outlook. In addition, other risks not yet identified or not considered material by the Company at the date of the URD could also have an adverse impact.

Rounding

Certain figures (including figures expressed in thousands or millions) and percentages in this URD have been rounded. The totals presented in this URD may slightly differ from those which would have been obtained by adding together the non-rounded values of those figures, as the case may be.

Convention

For greater clarity, the name Nacon will be used to designate Bigben Interactive's former Gaming division except where duly stated otherwise in the historical sections.

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Contents

Contents ................................................................................................................................................

4

1. PERSONS RESPONSIBLE...........................................................................................................

6

1.1 PERSON RESPONSIBLE FOR THE UNIVERSAL REGISTRATION DOCUMENT .............

6

1.2 STATEMENT BY THE PERSON RESPONSIBLE FOR THE UNIVERSAL REGISTRATION

DOCUMENT ..........................................................................................................................

6

1.3

PERSON RESPONSIBLE FOR FINANCIAL REPORTING ..................................................

6

1.4

INFORMATION FROM THIRD PARTIES..............................................................................

6

1.5

APPROVAL OF THE UNIVERSAL REGISTRATION DOCUMENT ......................................

6

2. STATUTORY AUDITORS .............................................................................................................

7

2.1

STATUTORY AUDITORS......................................................................................................

7

2.2 INFORMATION ABOUT STATUTORY AUDITORS THAT HAVE RESIGNED, BEEN

REMOVED OR NOT BEEN RE-APPOINTED .......................................................................

7

3. RISK FACTORS ............................................................................................................................

8

3.1

RISKS RELATED TO THE BUSINESS ...............................................................................

10

3.2

RISKS RELATED TO THE COMPANY'S FINANCIAL POSITION ......................................

15

3.3

MARKET RISK.....................................................................................................................

18

3.4

RISKS RELATED TO THE COMPANY'S ORGANISATION ...............................................

21

3.5

REGULATORY AND LEGAL RISKS ...................................................................................

24

3.6

NON-FINANCIAL RISKS .....................................................................................................

27

3.7

INSURANCE AND RISK COVERAGE ................................................................................

28

4. INFORMATION ABOUT THE COMPANY...................................................................................

29

4.1

CORPORATE NAME OF THE ISSUER ..............................................................................

29

4.2

PLACE OF REGISTRATION AND REGISTRATION NUMBER ..........................................

29

4.3

DATE AND TERM OF INCORPORATION ..........................................................................

29

4.4 REGISTERED OFFICE, LEGAL FORM, LEGISLATION GOVERNING THE BUSINESS.. 29

5. BUSINESS OVERVIEW ..............................................................................................................

30

5.1

MAIN ACTIVITIES................................................................................................................

30

5.2

MAIN MARKETS..................................................................................................................

55

5.3

SIGNIFICANT EVENTS IN THE GROUP'S TIMELINE .......................................................

62

5.4

STRATEGY AND OBJECTIVES..........................................................................................

63

5.5 RESEARCH AND DEVELOPMENT, PATENTS, LICENCES, TRADEMARKS AND

DOMAIN NAMES .................................................................................................................

77

5.6

COMPETITIVE POSITION ..................................................................................................

81

5.7

INVESTMENTS....................................................................................................................

82

6.

ORGANISATION STRUCTURE ................................................................................................

128

6.1

LEGAL STRUCTURE ........................................................................................................

128

6.2

GROUP COMPANIES .......................................................................................................

128

6.3

MAIN INTRA-GROUP TRANSACTIONS...........................................................................

131

7.

EARNINGS AND FINANCIAL POSITION .................................................................................

133

7.1

FINANCIAL POSITION ......................................................................................................

133

7.2

OPERATING INCOME.......................................................................................................

137

8.

CASH POSITION AND CAPITAL ..............................................................................................

139

8.1 INFORMATION ON THE COMPANY'S SHARE CAPITAL, LIQUIDITY AND FUNDING

SOURCES .........................................................................................................................

139

8.2 CASH FLOW ......................................................................................................................

142

8.3 INFORMATION ON THE COMPANY'S BORROWING TERMS AND FUNDING

STRUCTURE .....................................................................................................................

144

8.4

RESTRICTIONS ON THE USE OF CAPITAL ...................................................................

144

8.5

FUNDING SOURCES REQUIRED FOR THE FUTURE ...................................................

144

9.

REGULATORY ENVIRONMENT ..............................................................................................

146

10.

TRENDS ....................................................................................................................................

149

10.1

MAIN TRENDS SINCE THE START OF THE CURRENT FINANCIAL YEAR .................

149

10.2 TRENDS, UNCERTAINTIES, CONSTRAINTS, COMMITMENTS OR EVENTS THAT MAY

MATERIALLY AFFECT THE NACON GROUP'S OUTLOOK ...........................................

149

11. EARNINGS FORECASTS AND ESTIMATES ...........................................................................

150

11.1

ASSUMPTIONS .................................................................................................................

150

11.2

GROUP FORECASTS FOR THE YEAR ENDED 31 MARCH 2022 .................................

150

4

12. ADMINISTRATIVE AND MANAGEMENT BODIES ..................................................................

151

12.1 DIRECTORS AND EXECUTIVE OFFICERS ....................................................................

151

12.2 CONFLICTS OF INTEREST IN THE ADMINISTRATIVE AND MANAGEMENT BODIES 160

13. REMUNERATION AND BENEFITS ..........................................................................................

161

13.1 REMUNERATION AND BENEFITS...................................................................................

161

13.2 AMOUNTS SET ASIDE BY THE COMPANY FOR THE PAYMENT OF PENSIONS,

RETIREMENT BENEFITS AND OTHER BENEFITS TO CORPORATE OFFICERS.......

175

14. OPERATING PROCEDURES OF THE ADMINISTRATIVE AND MANAGEMENT BODIES ...

176

14.1 MANAGEMENT OF THE COMPANY................................................................................

176

14.2 INFORMATION ON AGREEMENTS BINDING THE COMPANY'S EXECUTIVES AND/OR

CORPORATE OFFICERS AND THE COMPANY OR ANY OF ITS SUBSIDIARIES .......

176

14.3 BOARD OF DIRECTORS, BOARD COMMITTEES AND CORPORATE GOVERNANCE176

14.4 STATEMENT ON CORPORATE GOVERNANCE ............................................................

178

14.5 INFORMATION ON INTERNAL CONTROL AND RISK MANAGEMENT PROCEDURES

........................................................................................................................................... 179

15. EMPLOYEES.............................................................................................................................

184

15.1 NUMBER OF EMPLOYEES AND BREAKDOWN BY COMPANY....................................

184

15.2 EQUITY INTERESTS AND STOCK OPTIONS HELD BY MEMBERS OF THE BOARD OF

DIRECTORS AND EXECUTIVE MANAGEMENT .............................................................

184

15.3

OWNERSHIP OF THE COMPANY'S SHARE CAPITAL BY EMPLOYEES .....................

184

16. MAIN SHAREHOLDERS ...........................................................................................................

186

16.1

OWNERSHIP OF SHARES AND VOTING RIGHTS.........................................................

186

16.2

VOTING RIGHTS OF THE MAIN SHAREHOLDERS .......................................................

186

16.3

CONTROL OF THE COMPANY ........................................................................................

187

16.4

AGREEMENTS THAT MAY LEAD TO A CHANGE OF CONTROL .................................

187

16.5

PLEDGES ..........................................................................................................................

187

17. TRANSACTIONS WITH RELATED PARTIES ..........................................................................

189

17.1

INTRAGROUP TRANSACTIONS AND TRANSACTIONS WITH RELATED PARTIES ...

189

17.2

STATUTORY AUDITOR'S REPORT ON REGULATED AGREEMENTS .........................

189

18. FINANCIAL INFORMATION CONCERNING THE ISSUER'S ASSETS, FINANCIAL POSITION

AND EARNINGS .......................................................................................................................

191

18.1

HISTORICAL FINANCIAL INFORMATION .......................................................................

191

18.2

INTERIM AND OTHER FINANCIAL INFORMATION ........................................................

272

18.3

AUDIT OF HISTORICAL FINANCIAL INFORMATION .....................................................

272

18.4

PROFORMA FINANCIAL INFORMATION ........................................................................

283

18.5

DIVIDEND POLICY............................................................................................................

283

18.6

LEGAL AND ARBITRATION PROCEEDINGS ..................................................................

283

18.7

MATERIAL CHANGE IN THE FINANCIAL OR TRADING POSITION ..............................

284

18.8

OTHER INFORMATION ....................................................................................................

284

19.

ADDITIONAL INFORMATION ...................................................................................................

287

19.1

SHARE CAPITAL...............................................................................................................

287

19.2

MEMORANDUM AND ARTICLES OF ASSOCIATION .....................................................

294

20.

MATERIAL AGREEMENTS.......................................................................................................

297

21.

DOCUMENTS AVAILABLE TO THE PUBLIC...........................................................................

298

22. DRAFT RESOLUTIONS ON THE AGENDA OF THE NEXT SHAREHOLDERS' GENERAL

MEETING...................................................................................................................................

299

23.

GLOSSARY ...............................................................................................................................

315

24.

CROSS-REFERENCE TABLES................................................................................................

316

5

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Nacon SA published this content on 07 July 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 30 July 2021 14:18:02 UTC.