COMMUNIQUÉ RÉGLEMENTÉ

par SAFRAN (EPA:SAF)

Statement of transactions in own shares from February 3, 2025 to February 7, 2025

C2 - Confidential#

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Disclosure of trading in own shares from 03/02/25 to 07/02/25

NB: The trades have been executed by Citigroup Global Markets Europe AG pursuant to a discretionary mandate pursuant to which Safran may not influence decisions related to the date, the price and the number of shares purchased.

Transaction Details: Safran

Name of the

Issuer

Identity Code of the Issuer

ISIN

Intermediary Name

Identify Code of the Intermediary

Currency

Safran

969500UIC89GT3UL7L24

FR0000073272

Citigroup Global Markets Europe

984500BG9AB1J05C5L33

EUR

Total number of shares purchased according to trading venues:

Name of the

Issuer

Day of the transaction

Identity code of the financial instrument

Total number of shares purchased

Daily weighted average

purchase price of the shares (€)

Gross Consideration

Venue

Purpose of the buyback

Safran

03-Feb-2025

      FR0000073272                          30 300

           238,4245

     7 224 261,80

XPAR

MAR art.5 §2. (a)

Safran

04-Feb-2025

FR0000073272                     

  30 580            

  239,4707       

 7 323 015,40

XPAR

MAR art.5 §2. (a)

Safran

05-Feb-2025

FR0000073272                     

  30 757            

  240,1411        

 7 386 021,21

XPAR

MAR art.5 §2. (a)

Safran

06-Feb-2025

FR0000073272                     

  22 000            

  241,5176       

 5 313 387,11

XPAR

MAR art.5 §2. (a)

Safran

07-Feb-2025

FR0000073272                     

  20 600            

  242,7124       

 4 999 876,30

XPAR

MAR art.5 §2. (a)

* Rounded to four decimal places

        Total:                                    

 134 237                

   240,2211           

 32 246 559,80

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