IPS IPSOS

Half-year report on IPSOS’ liquidity contract - December 2023

Half-year report on IPSOS’ liquidity contract - December 2023

Half-year report on IPSOS’ liquidity contract with BNP PARIBAS

Under the liquidity contract entrusted by IPSOS SA to BNP Paribas, the following assets appeared on the liquidity account as at December 31, 2023:

  • 7,052 IPSOS shares
  • € 1,423,021

During the 2nd half 2023, it has been traded a total of:

Purchase 109,338 shares € 5,097,321 1 138 transactions
Sale 117,484 shares € 5,586,114 1 110 transactions

For information, the following assets appeared on the liquidity account at the last report (June 30, 2023):

  • 17,222 IPSOS shares
  • €806,767

During the 1st half 2023, it has been traded a total of:

Purchase 124,247 shares €6,826,976 1,046 transactions
Sale 116,474 shares €6,370,727 883 transactions

At July 1, 2021, the date of implementation of AMF decision no. 2021-01 of June 22, 2021, the following assets appeared on the liquidity account:

  • 12,527 IPSOS shares
  • €926,655

At December 31, 2018, the date of implementation of AMF decision no. 2018-1 of July 2, 2018, the following assets appeared on the liquidity account:

  • 34,979 IPSOS shares
  • €233,110

 

Attachment



EN
12/02/2024

Underlying

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

Reports on IPSOS

 PRESS RELEASE

Ipsos: Disclosure of trading in own shares under a share buyback progr...

Ipsos: Disclosure of trading in own shares under a share buyback programme (9 to 13 February 2026) 17th February 2026 Disclosure of trading in own shares under a share buyback programme Period : From 9 to 13 February 2026 Issuer’s registered name: Ipsos Issuer’s Identification code: 9695002OY2X35E9X8W87 Financial instrument reference: Ordinary shares – ISIN code FR0000073298 Reporting of transactions in aggregated form (per day and per trading venue) Issuer nameIssuer CodeTransaction dateISIN CodeDaily total volume (in number of shares)Daily weighted average price of shares acquiredP...

 PRESS RELEASE

Ipsos : Communiqué relatif aux rachats d’actions propres (9 au 13 févr...

Ipsos : Communiqué relatif aux rachats d’actions propres (9 au 13 février 2026) Le 17 février 2026 Communiqué relatif aux rachats d’actions propres Période du 9 au 13 février 2026 Emetteur : Ipsos Code identifiant (LEI) de l’émetteur : 9695002OY2X35E9X8W87 Référence de l’instrument financier : Actions ordinaires – Code ISIN FR0000073298 Présentation agrégée par jour et par marché Nom de l'émetteurCode Identifiant de l'émetteurJour de la transactionCode identifiant de l'instrument financierVolume total journalier (en nombre d'actions)Prix pondéré moyen journalier d'acquisition des acti...

 PRESS RELEASE

Ipsos: Disclosure of trading in own shares under a share buyback progr...

Ipsos: Disclosure of trading in own shares under a share buyback programme (2 to 6 February 2026) 10th February 2026 Disclosure of trading in own shares under a share buyback programme Period : From 2 to 6 February 2026 Issuer’s registered name: Ipsos Issuer’s Identification code: 9695002OY2X35E9X8W87 Financial instrument reference: Ordinary shares – ISIN code FR0000073298 Reporting of transactions in aggregated form (per day and per trading venue) Issuer nameIssuer CodeTransaction dateISIN CodeDaily total volume (in number of shares)Daily weighted average price of shares acquiredPla...

 PRESS RELEASE

Ipsos : Communiqué relatif aux rachats d’actions propres (2 au 6 févri...

Ipsos : Communiqué relatif aux rachats d’actions propres (2 au 6 février 2026) Le 10 février 2026 Communiqué relatif aux rachats d’actions propres Période du 2 au 6 février 2026 Emetteur : Ipsos Code identifiant (LEI) de l’émetteur : 9695002OY2X35E9X8W87 Référence de l’instrument financier : Actions ordinaires – Code ISIN FR0000073298 Présentation agrégée par jour et par marché Nom de l'émetteurCode Identifiant de l'émetteurJour de la transactionCode identifiant de l'instrument financierVolume total journalier (en nombre d'actions)Prix pondéré moyen journalier d'acquisition des action...

 PRESS RELEASE

Ipsos: Disclosure of trading in own shares under a share buyback progr...

Ipsos: Disclosure of trading in own shares under a share buyback programme (26 to 30 January 2026) 3rd February 2026 Disclosure of trading in own shares under a share buyback programme Period : From 26 to 30 January 2026 Issuer’s registered name: Ipsos Issuer’s Identification code: 9695002OY2X35E9X8W87 Financial instrument reference: Ordinary shares – ISIN code FR0000073298 Reporting of transactions in aggregated form (per day and per trading venue) Issuer nameIssuer CodeTransaction dateISIN CodeDaily total volume (in number of shares)Daily weighted average price of shares acquiredPl...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch