01/04/2025 12:31 |
Statement of transactions in own shares from March 24, 2025 to March 28, 2025 |
INFORMATION REGLEMENTEE
C2 - Confidential
# Disclosure of trading in own shares from 24/03/25 to 28/03/25 NB: The trades have been executed by Citigroup Global Markets Europe AG pursuant to a discretionary mandate pursuant to which Safran may not influence decisions related to the date, the price and the number of shares purchased. Transaction Details: Safran Name of the Issuer Identity Code of the Issuer ISIN Intermediary Name Identify Code of the Intermediary Currency Safran 969500UIC89GT3UL7L24 FR0000073272 Citigroup Global Markets Europe AG 984500BG9AB1J05C5L33 EUR Total number of shares purchased according to trading venues: Daily weighted Total number of Day of the Identity code of the average purchase Purpose of the Name of the Issuer shares Gross Consideration Venue transaction financial instrument price of the shares buyback purchased (€) Safran 24-Mar-2025 FR0000073272 3 322 252,0998 837 475,70 XPAR MAR art.5 §2. (a) Safran 25-Mar-2025 FR0000073272 2 000 253,3791 506 758,10 XPAR MAR art.5 §2. (a) Safran 26-Mar-2025 FR0000073272 9 000 251,5919 2 264 327,50 XPAR MAR art.5 §2. (a) Safran 27-Mar-2025 FR0000073272 6 317 248,7315 1 571 237,00 XPAR MAR art.5 §2. (a) Safran 28-Mar-2025 FR0000073272 7 771 245,5275 1 907 994,10 XPAR MAR art.5 §2. (a) * Rounded to four decimal places Total: 28 410 249,4823 7 087 792,14 |