ELIS Elis SA

Elis: Disclosure of trading in own shares occured from April 15 to April 17, 2025

Elis: Disclosure of trading in own shares occured from April 15 to April 17, 2025

Disclosure of trading in own shares occurred

from April 15 to April 17, 2025

Saint-Cloud, April 22, 2025

In accordance with the regulations on share buybacks, in particular Regulation (EU) 2016/1052, Elis hereby declares the purchases of its own shares made from April 15, 2025 to April 17, 2025 under the buyback program authorized by the 19th resolution of the General Shareholders' Meeting of May 23, 2024 and announced on March 6, 2025:

Aggregated presentation:

Issuer name Issuer code

(LEI)
Transaction date ISIN Code Daily total Volume (in number of shares) Daily weighted average price of shares acquired (in euros) Platform (MIC Code)
ELIS SA 969500UX71LCE8MAY492 04/15/2025 FR0012435121 33,207 21.2298 XPAR
ELIS SA 969500UX71LCE8MAY492 04/16/2025 FR0012435121 33,127 21.2815 XPAR
ELIS SA 969500UX71LCE8MAY492 04/17/2025 FR0012435121 32,750 21.5261 XPAR
  Total 99,084 21.3450  

The purpose of the own shares purchase operations is (i) to cover maturing performance share plans and to allocate free shares to employees as part of the contribution to the Elis for All 2025 international employee shareholding plan, and (ii) to be cancelled in accordance with the 30th resolution of the Combined General Meeting of May 23, 2024.

Contacts

Nicolas Buron

Director of Investor Relations, Financing & Treasury

Phone: + 33 (0)1 75 49 98 30 -

Charline Lefaucheux

Investor Relations

Phone: + 33 (0)1 75 49 98 15 -

Attachment



EN
22/04/2025

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on Elis SA

Carole Braudeau
  • Carole Braudeau
Carole Braudeau
  • Carole Braudeau
 PRESS RELEASE

Elis: Disclosure of trading in own shares occured from March 9 to Marc...

Elis: Disclosure of trading in own shares occured from March 9 to March 13, 2026 Disclosure of trading in own shares occurred from March 9 to March 13, 2026 Puteaux, March 17, 2026 In accordance with the regulations on share buybacks, in particular Regulation (EU) 2016/1052, Elis hereby declares the purchases of its own shares made from March 9 to March 13, 2026 under the buyback program authorized by the 24th resolution of the General Shareholders' Meeting of May 22, 2025: Aggregated presentation: Issuer nameIssuer code(LEI) Transaction dateISIN CodeDaily total Volume (in number of shar...

 PRESS RELEASE

Elis : Déclaration des transactions sur actions propres du 9 mars au 1...

Elis : Déclaration des transactions sur actions propres du 9 mars au 13 mars 2026 Déclaration des transactions sur actions propres réalisées du 9 mars au 13 mars 2026 Puteaux, le 17 mars 2026         Conformément à la réglementation relative aux rachats d’actions, notamment le Règlement (UE) 2016/1052, Elis déclare ci-après les achats d’actions propres réalisés du 9 mars 2026 au 13 mars 2026 dans le cadre du programme de rachat autorisé par la 24ème résolution de l’assemblée générale des actionnaires du 22 mai 2025 : Présentation agrégée : Nom del'émetteurCode Identifiant de l'émetteur(L...

 PRESS RELEASE

Elis successfully priced a €600 million note issuance under its EMTN P...

Elis successfully priced a €600 million note issuance under its EMTN Programme Elis successfully priced a 600 million euros note issuanceunder its EMTN Programme Puteaux, 16 March 2026 – Elis, a global leader in circular services at work, today announces that it has successfully priced the issue of 600 million euros aggregate principal amount of senior unsecured notes under its EMTN (Euro Medium Term Notes) Programme. The maturity of the notes is 6 years, and the notes carry a fixed annual coupon of 3.875%. The extremely positive reception of this transaction, with a final orderbook abov...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch