on SCBSM (EPA:CBSM)
Half-yearly report on the SCBSM liquidity contract

SCBSM, a real estate company listed on Euronext Paris, has published the balance sheet of its liquidity contract for the six-month period ending June 30, 2025. As of that date, the liquidity account comprised 14,924 shares and €44,924.66 in cash. No transactions were made during the six-month period, either for purchases or sales.
In comparison, as of December 31, 2024, the data was similar with 14,924 shares and a cash amount of €44,488.96. However, at the origin of the contract, the account contained 6,154 shares and €5,000.00 in cash, showing a significant increase in available funds.
R. H.
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