BRIEF

on Lepermislibre (isin : FR001400F2Z1)

Half-yearly review of the Lepermislibre Liquidity Contract

Lepermislibre has published the half-yearly report of its liquidity contract for the first half of 2024. The company has entrusted this contract to TP ICAP (Europe), regulated by the ACPR and the AMF. As of June 28, 2024, the liquidity account presented 85,941 securities and 9,736.16 euros in cash.

During this half-year, 44,503 securities were purchased for an amount of 41,365.41 euros via 292 transactions. On the sales side, 31,040 securities were sold for an amount of 28,589.09 euros in 206 transactions.

For comparison, as of December 29, 2023, the liquidity account included 72,478 securities and 22,946.80 euros in cash. When the contract was initially set up on February 13, 2023, the account had 0 securities and 200,000 euros in cash.

R. E.

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