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Regulated information
Liquidity contract
- Implementation of a new liquidity contract with Crédit Industriel et Commercial (CIC) (31/07/2019)
- Half-year report of the liquidity agreement (07/07/2019)
- Half-year report of the liquidity agreement (01/02/2019)
- Half-year report of the liquidity agreement (07/02/2018)
- Half-year report of the liquidity agreement (01/02/2018)
- Half-year report of the liquidity agreement (07/03/2017)
- Half-year report of the liquidity agreement (01/02/2017)
Share buy-back programs
- Description of the share buy-back program (06/04/2026)
- Description of the share buy-back program (06/05/2025)
- Description of the share buy-back program (12/12/2023)
- Description of the share buy-back program (06/04/2020)
- Description of the share buy-back program - Effective implementation (03/16/2020)
- Description of the share buy-back program (06/04/2015)
- Description of the share buy-back program (03/31/2015)
Weekly declarations of the share buy back transactions
- Declaration of transactions on treasury shares (June 22 to 26, 2026)
- Declaration of transactions on treasury shares (June 15 to 19, 2026)
- Declaration of transactions on treasury shares (June 8 to 12, 2026)
- Declaration of transactions on treasury shares (June 1 to 5, 2026)
- Declaration of transactions on treasury shares (May 25 to 29, 2026)
- Declaration of transactions on treasury shares (May 18 to 22, 2026)