Six-monthly return relating to liquidity contract

13/01/2010 - 09:00

Pursuant to the liquidity agreement entered into by GROUPE EUROTUNNEL SA and EXANE BNP PARIBAS, as at the settlement date on 31 December 2009, the following stood to the credit of the liquidity account:

  • 177,196 GROUPE EUROTUNNEL shares1
  • €1,254,108

For reference, as at the date of the last return, 30 June 2009, the following stood to the credit of the liquidity account:

  • 218,949 GROUPE EUROTUNNEL shares
  • 37,358 GROUPE EUROTUNNEL SA NV shares
  • €887,350

 

  1. If transactions conducted on 31 December 2009 which were settled after this date were included, Groupe Eurotunnel would have held 174,269 GROUPE EUROTUNNEL shares purchased under the liquidity agreement.

 

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