sur SCBSM (EPA:CBSM)
Half-yearly Report on the SCBSM Liquidity Contract
The SCBSM company, specialized in real estate and listed on Euronext Paris, has published the balance sheet of its liquidity contract as of December 31, 2024. The figures indicate a stable balance in the liquidity accounts managed by INVEST SECURITIES SA. Thus, at the end of 2024, the account held 14,924 securities, precisely as on June 30, 2024. The amount in cash increased slightly, from €43,715.24 to €44,488.96.
It is notable that no transactions, either buying or selling, were carried out during the second half of 2024. Since the implementation of the contract, the account's resources have been significantly strengthened, with the quantity of securities having more than doubled and the amount in cash having seen a significant increase.
R. H.
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