-
Markets
-
Equities
Sustainable finance2025 Euronext ESG Trends ReportRead moreA data-driven snapshot of how Euronext-listed companies are advancing their Environmental, Social and Governance (ESG) practices.
-
Indices
Access the white paperInvesting in the future of Europe with innovative indicesRead moreThe first edition of the Euronext Index Outlook series with a particular focus on the European Strategic Autonomy Index.
-
ETFs
The European market place for ETFsEuronext ETF EuropeRead moreInvestors benefit from a centralised market place that will not only bring transparency but also better pricing due to the grouping of liquidity.
- Funds
-
Fixed Income
European Defence BondsGroupe BPCE lists the first bondRead moreFirst financial institution in Europe to issue a bond dedicated to the defence sector
- Structured Products
-
Derivatives
Where European Government Bonds Meet the FutureFixed Income derivativesRead moreTrade mini bond futures on main European government bonds
-
Commodities
- Overview
- Quotes snapshot
- Power Derivatives
- Milling Wheat derivatives
- Corn derivatives
- Spread contracts
- Rapeseed derivatives
- Durum Wheat derivatives
- Salmon derivatives
- Delivery & settlement
- Specifications & arrangements
- Commitments of Traders (CoT) report
- Commodity brokers
Building a sustainable and liquid power derivatives market.Euronext Nord Pool Power FuturesRead moreEuronext and Nord Pool, the European power exchange, announced the launch of a dedicated Nordic and Baltic power futures market.
-
Resources
Designed to help students navigate the complexities of financial marketsEuronext Trading gameRead moreJoin the Euronext Trading Game and step into capital markets. Learn from today’s leaders, explore sustainable opportunities, and trade with confidence.
Kaufman & Broad SA: HALF-YEAR LIQUIDITY CONTRACT STATEMENT FOR KAUFMAN & BROAD SA 2025, June 30
04 Jul 2025 14:48 CEST
Issuer
KAUFMAN ET BROAD S.A.
|
Kaufman & Broad SA Press release Paris, July 4th, 2025 Half-year liquidity contract statement
In accordance with the liquidity contract signed by Kaufman & Broad SA with the bank Rothschild & Co CMS on June 30th, 2025, the liquidity account held the following assets:
Over the period from 01/01/2025 to 06/30/2025, a total of:
Reminding liquidity contract on December 31st, 2024, the liquidity account held the following assets:
This press release is available at www.kaufmanbroad.fr
Regulatory filing PDF file File: Half-year Liquidity contract june 30 2025_VUK VDef |
2165532 04-Jul-2025 CET/CEST
PDCXEVQSDEXXYKLTRJFTYEJW_Half-year_Liquidity_contract_june_30_2025_VUK_VDef.pdf
Source
Kaufman & Broad SA
Provider
EQS Group
Company Name
KAUFMAN ET BROAD
ISIN
FR0004007813
Symbol
KOF
Market
Euronext