CHANGE IN THE ASSETS ALLOCATED TO THE LIQUIDITY ACCOUNT MANAGED BY invest securities
Paris, 31 May 2012
Effective on 22 May 2012, the assets allocated to the liquidity account contracted by FoncièreParis France with the company Invest Securities were decreased by the amount of €209,478.09 cash.
It isremindedthatwhenthe new liquiditycontractwasset up withInvestSecurities (Paris) on 15 May 2012, the followingassetwere allocatedto the liquidityaccount:
- 51,805 shares
- 42,731 "2010" equity warrants
- €459,478.09 cash.
FoncièreParis France
FoncièreParis France is listed on the NYSE Euronext (Paris), Compartment B (symbol: FPF; ISIN: FR0010304329).
Contacts
Foncière Paris France
Olivier Riché
Arnaud Pomel
+33 1 43 12 39 85
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