Industria
Renault SA :Half-year report on the liquidity contract - H1 2025
HALF-YEAR REPORT ON THE LIQUIDITY CONTRACT
Under the liquidity agreement entered into between Renault SA and Exane BNP Paribas, the following resources appeared on the liquidity account on June 30, 2025:
In the first half of 2025, were carried out:
For information:
1. In the previous half-year report, on December 31, 2024, the following resources appeared on the liquidity account:
2. as of the date of the signature of the liquidity agreement, on July 10, 2022, the following resources were allocated to the liquidity account:
In addition, the aggregated data for each trading day (number of transactions and volume traded, both for purchases and sales, in terms of number of shares and capital) are summarised in the table below:
The liquidity agreement is implemented in accordance with the provisions of the French Financial Markets Authority’s decision n°2021-01 of June 22, 2021, renewing the establishment of liquidity contracts as an accepted market practice.
Attachment
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