01/07/2025 12:41
Statement of transactions in own shares from June 23, 2025 to June 25, 2025
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INFORMATION REGLEMENTEE

Purchases of own shares from June 23rd to June 25th 2025


Identity code of Daily weighted
Name of the Day of the Total daily volume (in Market (MIC Purpose of the
Name of the Broker Identity code of the Issuer the financial average purchase
Issuer transaction number of shares) Code) buyback
instrument price of the shares
SAFRAN Natixis 969500UIC89GT3UL7L24 23/06/2025 FR0000073272 329 257,3000 XPAR MAR art.5 §2. a
SAFRAN Natixis 969500UIC89GT3UL7L24 24/06/2025 FR0000073272 25 770 263,4866 XPAR MAR art.5 §2. a
SAFRAN Natixis 969500UIC89GT3UL7L24 24/06/2025 FR0000073272 4 230 263,4852 CEUX MAR art.5 §2. a
SAFRAN Natixis 969500UIC89GT3UL7L24 25/06/2025 FR0000073272 20 000 264,5192 XPAR MAR art.5 §2. a
SAFRAN Natixis 969500UIC89GT3UL7L24 25/06/2025 FR0000073272 5 000 264,4735 CEUX MAR art.5 §2. a
TOTAL 55 329 263,9121