SECURITIES REPURCHASING PROGRAMME
(Decided by the combined ordinary and extraordinary shareholders’ general meeting on 17 April 2019)
Disclosure of trading in own shares
Period from 25 Nov to 29 Nov 2019
Issuer: VINCI S.A. (LEI : 213800WFQ334R8UXUG83)
Types of securities: ordinary shares (ISIN: FR 0000 12548 6)
Full details of the programme disclosed to the AMF on 13 march 2019
I-Purchases effected during the period:
1 Trading days | 2 Numbers of shares purchased (*) | 3 Weighted average unit prices of transactions (in €) | 4 Amounts (in €) | 5 Purpose of redemption | 6 Market |
25/11/19 | 172 642 | 99.8678 | 17 241 379.31 | Coverage of pension savings plan and employee share-ownership plan. | OTC |
26/11/19 | NONE | - | - | - | - |
27/11/19 | NONE | - | - | - | - |
28/11/19 | NONE | - | - | - | - |
29/11/19 | NONE | - | - | - | - |
Totals of columns 2 and 4, and weighted average unit price of purchases effected during the period (column 3) | 172 642 | - | 17 241 379.31 | - | - |
(*) Shares purchased by a derivative instrument included. Trading operated by an independent investment firm in order to increase VINCI share market liquidity is excluded
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