Industria
Renault SA :Half-year report on the liquidity contract - H1 2024
HALF-YEAR REPORT ON THE LIQUIDITY CONTRACT
Under the liquidity agreement entered into between Renault SA and BNP Paribas, the following resources appeared on the liquidity account on June 30, 2024 :
In the first half of 2024, were carried out:
For information:
1. In the previous half-year report, on December 31, 2023, the following resources appeared on the liquidity account:
2. In the second half of 2023, were carried out:
3. as of the date of the signature of the liquidity agreement, on July 10, 2022, the following resources were allocated to the liquidity account:
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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