Publicis Groupe half-year financial statement liquidity contract

Under the liquidity contract of Publicis Groupe [Euronext Paris: FR0000130577, CAC40] with Kepler Capital Markets SA, the following means were attributable to the liquidity contract at June 30, 2019:

  • 226,000 shares
  • €6,607,599.99
     

It is reminded that at December 31, 2018, the following means appeared in the contract:

  • 286,000 shares
  • €2,661,272.47