|
1
23/08/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
3
17/08/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
2
17/08/2022 |
31 July 2022 NAV report
|
|
1
17/08/2022 |
July 2022 Factsheet
|
|
2
09/08/2022 |
Shareholding structure and total number of voting rights as at 31 July 2022
|
|
1
09/08/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
1
02/08/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
1
26/07/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
1
23/07/2022 |
Information on the closed trading period: 31 July – 31 August 2022
|
|
1
19/07/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
2
16/07/2022 |
30 June 2022 NAV report
|
|
1
16/07/2022 |
June 2022 Factsheet
|
|
2
12/07/2022 |
Update regarding significant NAV changes
|
|
1
12/07/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
1
09/07/2022 |
Shareholding structure and total number of voting rights as at 30 June 2022
|
|
1
08/07/2022 |
Disclosure of holdings under 10% of the total voting rights
|
|
1
05/07/2022 |
Notification regarding the transactions performed during the buy-back program
|
|
1
30/06/2022 |
Settlement and payment of the transactions related to the public tender offer
|
|
1
29/06/2022 |
Transaction of the kind listed in Art. 19 of Market Abuse Regulation
|
|
1
28/06/2022 |
Exchange rate applicable to the acquisition price for the GDRs repurchased in the public tender offer
|