Aramis Group - Half-yearly statement of the company's liquidity contract
28 Janvier 2022 - 06:49PM
Aramis Group - Half-yearly statement of the company's liquidity
contract
PRESS RELEASE
Arcueil,
28 January
2022
Half-yearly
statement of the company's liquidity
contract
Under the liquidity contract entrusted by Aramis
Group to Rothschild Martin Maurel, the following resources were
included in the liquidity account at 31 December 2021:
- 22.500 shares
- € 1,140,644.00
For reference, the following resources were
recorded in the liquidity account on 22 July 2021, date of its
implementation:
Between 1 July and 31 December 2021 total
transactions were:
|
Number of transactions |
Numberof shares |
Amountin euros |
Purchases |
2,298 |
190,475 |
3,303,884.65 |
Sales |
1,988 |
167,975 |
2,945,934.09 |
***
About Aramis Group
Aramis Group is a leading European B2C platform
to acquire a used car online and brings together four brands:
Aramisauto, Cardoen, Clicars and CarSupermarket, in France,
Belgium, Spain and the UK respectively. The Group is transforming
the used car market and is putting digital technology at the
service of customer satisfaction with a fully vertically integrated
business model. For the full 2021 fiscal year, Aramis Group
generated revenues of €1.36 billion, sold more than 80,000 B2C
vehicles, and recorded more than 73 million visits to its websites.
At the end of September 2021, the Group had more than 1,800
employees, a network of 60 agencies and three industrial
refurbishing sites. Aramis Group is listed on compartment A of the
Euronext Paris stock exchange (Ticker: ARAMI – ISIN: FR0014003U94).
For more information, visit www.aramis.group.
Investors contact
Alexandre LeroyHead of investor
relationsalexandre.leroy@aramis.group
+33 (0)6 58 80 50 24
- Press release - ARAMIS GROUP - Half-yearly statement of the
company's liquidity contract
Aramis (EU:ARAMI)
Graphique Historique de l'Action
De Fév 2024 à Mar 2024
Aramis (EU:ARAMI)
Graphique Historique de l'Action
De Mar 2023 à Mar 2024