PR Newswire/Les Echos/ Paris, 17th of January 2013 NRJ GROUP Half year liquidity contract statement as at 31 December 2012 Under the liquidity contract signed between NRJ GROUP and Rothschild & Cie Banque, the following assets were booked to the liquidity account as of 31 December 2012: * 25 stocks * 2,246,606.00 euros It is remind that the following assets were booked to the liquidity account as of 30 June 2012: * 148,600 stocks * 1,310,617.00 euros NRJ GROUP French limited company (société anonyme) with a capital of 810,815.35 euros - SIREN trade register number 330 036 128 PARIS Registered office: 22 rue Boileau, 75016 Paris, France The content and accuracy of news releases published on this site and/or distributed by PR Newswire or its partners are the sole responsibility of the originating company or organisation. Whilst every effort is made to ensure the accuracy of our services, such releases are not actively monitored or reviewed by PR Newswire or its partners and under no circumstances shall PR Newswire or its partners be liable for any loss or damage resulting from the use of such information. All information should be checked prior to publication. -0- Jan/22/2013 07:01 GMT
NRJ GROUP - Half year liquidity contract statement as at 31 December 2012
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