REGULATED PRESS RELEASE published on 01/30/2025 at 08:18, 1 year 7 months ago OVH Groupe - OVH Groupe prices €500,000,000 4.75% senior unsecured notes due 2031 OVH Groupe S.A. prices €500,000,000 4.75% senior unsecured notes due 2031. The Company plans to use proceeds for debt refinancing and general corporate purposes. Notes expected to be issued on February 5, 2025 Corporate Purposes Senior Unsecured Notes Debt Refinancing OVH Groupe S.A. February 5 2025
BRIEF published on 01/29/2025 at 17:59, 1 year 7 months ago OVH Groupe Reduces Share Capital Through Share Buyback Rothschild Martin Maurel Treasury Shares Buyback Offer Share Capital Reduction OVH Groupe
REGULATED PRESS RELEASE published on 01/29/2025 at 17:54, 1 year 7 months ago OVH Groupe announces a share capital reduction through the cancellation of treasury shares bought back as part of the share buyback offer OVH Groupe reduces share capital by canceling 38,888,889 treasury shares, now totaling €151,651,536. The buyback occurred between Dec 18, 2024, and Jan 6, 2025, completing on Jan 29, 2025 Share Buyback Treasury Shares Buyback Offer Share Capital Reduction OVH Groupe
BRIEF published on 01/27/2025 at 09:18, 1 year 7 months ago OVH Group Releases Q1 FY25 Financial Statements and Updates Financing Financial Results Cloud Services Share Buyback OVH Group Financing Arrangements
REGULATED PRESS RELEASE published on 01/27/2025 at 09:13, 1 year 7 months ago OVH Groupe - Publication of Q1 FY25 financial statements and update on financing arrangements OVH Groupe S.A. releases Q1 2025 financial statements and updates financing arrangements, EBITDA figures, and risk factors. Contact for media and investors provided Financial Statements Risk Factors OVH Groupe S.A. Financing Arrangements EBITDA Figures
BRIEF published on 01/27/2025 at 09:02, 1 year 7 months ago OVH Groupe Launches €470 Million Senior Unsecured Notes Offering Cloud Services European Market Debt Refinancing Senior Notes OVH Groupe
REGULATED PRESS RELEASE published on 01/27/2025 at 08:57, 1 year 7 months ago OVH Groupe - Launch of an offering of €470,000,000 senior unsecured notes due 2031 OVH Groupe S.A. launches €470,000,000 senior unsecured notes due 2031 to refinance existing debt. Offering subject to market conditions. Legal disclaimer outlines distribution restrictions Refinance Senior Unsecured Notes Offering OVH Groupe S.A. Distribution Restrictions
BRIEF published on 01/15/2025 at 11:01, 1 year 7 months ago Half-yearly report on the OVH Group Liquidity Contract Liquidity Contract Rothschild Martin Maurel Half-yearly Report Stock Market Transactions OVH Group
BRIEF published on 01/09/2025 at 07:05, 1 year 7 months ago OVHcloud's Solid Start in 2025: Confirms Financial Guidance OVHcloud Financial Guidance International Expansion Cloud Growth AI Offerings
REGULATED PRESS RELEASE published on 01/09/2025 at 07:00, 1 year 7 months ago OVHcloud confirms its 2025 financial guidance, driven by a good start to the year, with organic growth of +10.1% in the first quarter OVHcloud confirms 2025 financial guidance with Q1 organic growth of +10.1%. Revenue of €264M, 52% international sales. Strong growth in Public and Private Cloud segments OVHcloud Cloud Services Revenue 2025 Financial Guidance Q1 Organic Growth
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