Liquidity Contract Sample Contracts

AMAFI STANDARD LIQUIDITY CONTRACT OBSERVATIONS Between:[company name],a company with share capital of [ ] euros,having its registered office at [address],listed on the Register of Companies of [city/country] under the number [ ],represented by [ ],...
Liquidity Contract • May 24th, 2013

CONTENTS Preamble p. 03Article 1 Purpose of the Contract ……………………………………………………………………………………………………. p. 04 Article 2 Opening the Liquidity Account …………………………………………………………………………………………... p. 05 Article 3 Allocation of Shares…………… ………………………………………………………………………………………… p. 07 Article 4 Characteristics of the Liquidity Provider’s trading …………………………………………………………………….. p. 09 Article 5 Independence of the Liquidity Provider …………………………………………………………………………………. p. 10 Article 6 Reporting …… ……………………………………………………………………………………………………………. p. 10 Article 7 Market disclosure ………………………………………………………………………………………………………….. p. 11 Article 8 Calculating each Participant’s share in the Liquidity Account………………………………………………………… p. 11 Article 9 Providing the information needed for preparing tax returns………………………….…………………………………. p. 12 Article 10 Voting rights attached to the Shares …………………………………………………………………………………….. p. 12 Article 11 Dividends………………… ……………………………………………………………………………………………….. p. 12 Article 12 Balancing the Liquidity Acco

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REGULATED INFORMATION
Liquidity Contract • April 12th, 2018

Teleperformance SE, Oddo & Cie and Oddo Corporate and Finance have terminated the liquidity agreement entered into on January 5, 2007, effective April 11, 2018 (close of business).

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • July 12th, 2022

Paris, July 11, 2022 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at EXANE BNP PARIBAS, at the settlement date of 30 June 2022, the following assets appeared on the liquidity account:

Amendment to liquidity contract signed on May, 2nd, 2006 between Rothschild & Cie Banque and Gaz de France
Liquidity Contract • July 28th, 2008 • Gaz De France • Natural gas distribution

Paris, July, 17 2008 – With respect to article 11 of the above mentioned contract and in order to allow Rothschild & Cie Banque to pursue its actions as defined by the contract, Gaz de France has decided to proceed with an additional cash allocation in the amount of € 45,000,000.

Execution of a liquidity contract with Kepler Cheuvreux as part of a share buyback program
Liquidity Contract • December 9th, 2021

This agreement complies with the legal and regulatory framework in force, in particular Regulation (EU) No. 596/2014 of the European Parliament and of the European Council of 16 April 2014, the Commission Delegated Regulation (EU) No. 2017/567, Articles L. 225-206 et seq. of the French Commercial Code and Decision No. 2021-01 of the French Financial Markets Authority (Autorité des Marchés Financiers or AMF) of June 22, 2021 renewing the introduction of liquidity contracts on equity securities as an accepted market practice and any other provisions referred to therein.

Execution of the liquidity contract with Kepler Cheuvreux
Liquidity Contract • April 30th, 2019

The liquidity contract will be executed in compliance with regulation regarding liquidity contracts which includes Regulation (EU) n° 596/2014 of the European Parliament and of the Council of April 16th, 2014 on Market Abuse (MAR), Commission Delegated Regulation (EU) 2016/908 of February 26th, 2016 supplementing MAR regulatory technical standards on the criteria, the procedure and the requirements for establishing an accepted market practice and the requirements for maintaining it, terminating it or modifying the conditions for its acceptance, articles L. 225-209 and seq. of the French Commercial Code and AMF Decision n° 2018-01 of July 2nd, 2018, applicable as from January 1st, 2019.

Amendment to the liquidity contract
Liquidity Contract • April 25th, 2008

Pursuant to article 11 of the above-mentioned contract, and in order to enable Rothschild & Cie Banque to ensure consistant performance of its intervention under the terms of this contract, Paris Orléans has decided to contribute an additional € 3 000 000 to the initial amount of the liquidity contract.

Contract
Liquidity Contract • March 7th, 2018
Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with BNP Paribas
Liquidity Contract • January 9th, 2024

Paris, January 09, 2024 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at BNP PARIBAS, at the settlement date of 31 December 2023, the following assets appeared on the liquidity account:

Resources devoted to the liquidity contract as of 31 December 2021
Liquidity Contract • January 11th, 2022

At 31 December 2021, resources made available for the liquidity agreement concluded by Carmila with Exane BNP Paribas were the following:

Implementation of a new contract of liquidity with Kepler Cheuvreux
Liquidity Contract • May 4th, 2021

Sartorius Stedim Biotech and Kepler Cheuvreux have signed on April 29, 2021 a liquidity contract regarding the shares of Sartorius Stedim Biotech admitted to Euronext Paris (the “Agreement”).

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • January 5th, 2023

Paris, January 05, 2023 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at EXANE BNP PARIBAS, at the settlement date of 31 December 2022, the following assets appeared on the liquidity account:

Amendment to the liquidity contract
Liquidity Contract • May 22nd, 2015

Amendment to the liquidity contract signed on 22nd August 2011 between Rothschild & Cie Banque and Société Générale: under article 12, and to enable Rothschild & Cie Banque to ensure continuity of its operations under this agreement, Société Générale decided to make a partial recovery means of EUR 143M, bringing the current means to EUR 50M.

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • July 6th, 2023

Paris, July 06, 2023 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at EXANE BNP PARIBAS, at the settlement date of 30 June 2023, the following assets appeared on the liquidity account:

LIQUIDITY CONTRACT
Liquidity Contract • July 29th, 2020 • Aerkomm Inc. • Communications services, nec

AERKOMM Inc., a Corporation with capital of 9 098 USD and principal executive offices located at 923 Incline Way, #39, Incline Village, NV 89451, USA, registered with the Secretary of the State of Nevada under number E0398632013-3, represented by Mr. Jeffrey Wun, CEO, President and Chairman,

LIQUIDITY CONTRACT
Liquidity Contract • February 7th, 2013
Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with BNP Paribas
Liquidity Contract • July 4th, 2024

Paris, July 03, 2024 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at BNP PARIBAS, at the settlement date of 30 June 2024, the following assets appeared on the liquidity account:

LIQUIDITY CONTRACT
Liquidity Contract • July 9th, 2019

On 17 July 2013, Bouygues retained Kepler Cheuvreux (formerly Kepler Capital Markets) to execute a liquidity contract relating to the ordinary shares of Bouygues (ISIN code: FR0000120503) admitted to trading on Euronext Paris.

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • February 7th, 2011

Under the liquidity contract with Eutelsat Communications at Exane BNP Paribas in settlement date of December 31, 2007, the following assets appeared on the liquidity account:

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • July 7th, 2020

Paris, July 7, 2020 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at EXANE BNP PARIBAS, at the settlement date of 31 December 2019, the following assets appeared on the liquidity account:

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • January 10th, 2022

Paris, January 10, 2022 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at EXANE BNP PARIBAS, at the settlement date of 31 December 2021, the following assets appeared on the liquidity account:

Half year liquidity contract EUTELSAT COMMUNICATIONS contracted with Exane BNP Paribas
Liquidity Contract • January 20th, 2020

Paris, January 20, 2020 - Under the liquidity contract with EUTELSAT COMMUNICATIONS at EXANE BNP PARIBAS, at the settlement date of 31 December 2019, the following assets appeared on the liquidity account:

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Resources devoted to the liquidity contract as of 30 June 2023
Liquidity Contract • July 7th, 2023

At 30 June 2023, resources made available for the liquidity agreement concluded by Carmila with Exane BNP Paribas were the following:

Amendment to the liquidity contract
Liquidity Contract • May 4th, 2011

Pursuant to article 11 of the above-mentioned contract, and in order to enable Rothschild & Cie Banque to ensure consistant performance of its intervention under the terms of this contract, Paris Orléans has decided to contribute an additional €1, 500, 000 to the initial amount of the liquidity contract.

Notice N° AV-2018-042
Liquidity Contract • November 20th, 2022

- In accordance with the Royal Decree (Dahir) No.1-93-211 of 21 September 1993, relating to the Stock Exchange, as modified and completed by Laws No. 34-96, 29-00, 52-01, 45-06 and 43- 09 namely section 7b ;

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