Information Technology
Cegedim: Half-year liquidity contract statement
Half-year liquidity contract statement for CEGEDIM
Boulogne-Billancourt, July 23, 2025
Under the liquidity contract entered into between Cegedim and Rothschild Martin Maurel, the following resources appeared on the liquidity account on June 30th 2025:
Over the period from 1 January 2025 to 30 June 2025, a total of:
As a reminder, the following resources appeared on the last half year statement on 31 December 2024 on the liquidity account
As a reminder, Cegedim terminated the previous liquidity contract with Kepler Cheuvreux on February 28, 2025.
As of that date, the following resources appeared on the liquidity account :
As a reminder, Cegedim entrusted Rothschild Martin Maurel with the implementation of a liquidity and market surveillance contract for its ordinary shares, with effect from March 3, 2025. As of that date, the following resources appeared on the liquidity account:
The implementation of this report is carried out in accordance with AMF Decision N°2021-01 of June 22nd 2021 renewing the implementation of liquidity contracts for shares as an accepted market practice
About Cegedim:
Founded in 1969, Cegedim is an innovative technology and services company in the field of digital data flow management for healthcare ecosystems and B2B, and a business software publisher for healthcare and insurance professionals. Cegedim employs nearly
6,700 people in more than 10 countries and generated revenue of over €654 million in 2024.
Cegedim SA is listed in Paris (EURONEXT: CGM).
To learn more please visit: www.cegedim.fr
And follow Cegedim on X @CegedimGroup, LinkedIn, and Facebook.
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