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EDILIZIACROBATICA: INCREASE IN RESOURCES ALLOCATED TO THE LIQUIDITY CONTRACT CONCLUDED WITH INVEST SECURITIES ON EURONEXT GROWTH PARIS

Genova, July 4th, 2024: EdiliziAcrobatica S.p.A. (the “Company” or “Acrobatica”) (Isin IT0005351504 Euronext Paris – Growth, Ticker ALEAC), announces today that it has increased the resources allocated to the liquidity contract entrusted to INVEST SECURITIES on Euronext Growth Paris, by the contribution of Euro 25,000 in cash. 

This increase, in accordance with the provisions of article 4 of AMF decision no. 2021-01 of June 22, 2021 (the “AMF Decision”), aims to rebalance the cash and securities resources of the liquidity account and aims to ensure a better liquidity for the security and to avoid price shifts not justified by the market trend.

As of July 04, 2024, after market close and after increasing the cash amount in the liquidity contract of Euro 25,000, the resources available are as follows:

– 39.667 shares

–  Euro 36.414,59 in cash

It is recalled that during the half-year report of December 31, 2023, for the period standing July 1 – December 31, 2023, the following resources appeared in the liquidity account:

– 30.437 shares

–  Euro 113.269,39 in cash