on CABASSE GROUP (EPA:ALCG)
VEOM Group half-year report as of June 30, 2025
The half-yearly balance sheet of VEOM Group's liquidity contract, dated June 30, 2025, shows a complete lack of activity. The brokerage firm Gilbert Dupont, in charge of the contract, reports that 58,017 VEOM Group shares are in the liquidity account, but no cash funds are present. No transactions, either buy or sell, were carried out during this half-year.
This situation is unchanged from the last balance sheet of December 31, 2024, when the same quantities of securities and amounts appeared. At the start of the liquidity contract, the resources made available included 16,441 securities and €110,989.06 in cash. This stagnation suggests a lack of market trading for VEOM Group during this period.
R. H.
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