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Disclosure of transactions in on shares from February 19th to February 21st, 2025

In This Article:

VINCI
VINCI

Nanterre, February 24th, 2025

Disclosure of transactions in on shares

from February 19th to February 21st, 2025

Within the framework of the authorization granted by the General Meeting of VINCI SA of April 09, 2024, to trade in its shares and in accordance with the regulations relating to share buybacks, VINCI SA (LEI:213800WFQ334R8UXUG83) declares the purchases of treasury shares below (FR0000125486), carried out from February 19th to February 21st, 2025:

I - Aggregate presentation by day and by market

Issuer’s name

Date of transaction

Identifying code of financial instrument

Aggregated daily volume (in number of shares)

Daily weighted average price of the purchased shares in Euro

Market (MIC code)

VINCI

19/02/2025

FR0000125486

6 195

109,209700

AQEU

VINCI

19/02/2025

FR0000125486

28 235

109,200400

CEUX

VINCI

19/02/2025

FR0000125486

6 070

109,240000

TQEX

VINCI

19/02/2025

FR0000125486

72 000

109,186700

XPAR

VINCI

20/02/2025

FR0000125486

10 860

108,380400

AQEU

VINCI

20/02/2025

FR0000125486

34 958

108,495400

CEUX

VINCI

20/02/2025

FR0000125486

8 509

108,492600

TQEX

VINCI

20/02/2025

FR0000125486

100 746

108,378000

XPAR

VINCI

21/02/2025

FR0000125486

12 136

108,145200

AQEU

VINCI

21/02/2025

FR0000125486

25 163

108,335100

CEUX

VINCI

21/02/2025

FR0000125486

14 968

108,315000

TQEX

VINCI

21/02/2025

FR0000125486

72 733

108,278900

XPAR

 

 

 

 

 

 

 

 

TOTAL

392 573

108,5942

 

II - Details of transactions

In accordance with Article 5 (1) (b) of Regulation (EU) No 596/2014 (Regulation on market abuse), detailed information is available on the VINCI website :

https://www.vinci.com/vinci.nsf/fr/finances-bourse-actionnariat-transactions/pages/index.htm

______________________

Attachment