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Day: July 17, 2020

IGE+XAO: Half year statement regarding the liquidity contract signed with PORTZAMPARC Brokerage Firm

IGE+XAOSociété Anonyme with capital of 5,021,866.85 eurosHead office : 16 Boulevard Déodat de Séverac31770 COLOMIERS338 514 987 RCS ToulouseSIRET: 338 514 987 000 76 – VAT number: FR 783.385.149.87Regulated informationHalf year statement regarding the liquidity contract signed with PORTZAMPARC Brokerage FirmToulouse, 17 July 2020Under the liquidity contract granted by IGE+XAO to PORTZAMPARC Brokerage Firm (suspended from 31 July 2018 and until 31 December 2020), the following assets were booked to the liquidity account at 30 June 2020:2,366 shares IGE +XAOCash: € 140,277.95It is reminded that during its implementation, the following means were included in the liquidity contract:2,500 shares IGE + XAO,€49,250 in cash,(Additional inflow of €50,000 on 14 October 2008)(Additional inflow of €50,000 on 22 January 2016)About the IGE+XAO GroupFor...

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IGE+XAO : Bilan semestriel du contrat de liquidité contracté avec PORTZAMPARC Société de Bourse

IGE+XAOSociété Anonyme au capital de 5 021 866,85 eurosSiège social : 16 Boulevard Déodat de Séverac31770 COLOMIERS338 514 987 RCS ToulouseSIRET : 338 514 987 000 76 – N° TVA intracommunautaire : FR 783.385.149.87Information réglementéeBilan semestriel du contrat de liquidité contracté avec PORTZAMPARC Société de BourseToulouse, le 17 juillet 2020Au titre du contrat de liquidité confié par la société IGE+XAO à PORTZAMPARC Société de Bourse (suspendu depuis le 31 juillet 2018 et jusqu’au 31 décembre 2020), à la date du 30 juin 2020, les moyens suivants figuraient au compte de liquidité :2 366 titres IGE+XAO,Espèces : 140 277,95 eurosIl est rappelé que lors de la mise en œuvre, les moyens suivants figuraient au compte de liquidité :2 500 titres IGE+XAO49 250 euros(Apport complémentaire de 50 000,00 euros le 14 octobre 2008)(Apport complémentaire...

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Sbanken ASA: Initiating repurchase of shares for executive managers and board members

Sbanken ASA offers a share purchase program for executive managers and board members where shares are offered at a price including a 20 per cent discount and is subject to a three-year lock-up period.Subscription amount in the program can until 31 December 2022 not exceed:* NOK 5 million for the CEO* NOK 4 million for the CFO* NOK 3 million for other executive managers* NOK 2 million for the chair of the board* NOK 1 million for board membersFurther reference is made to the general meeting of 24. April 2020 where the company was granted approval to acquire shares at a price between NOK 10 and NOK 150 per share and up to an aggregate nominal value of NOK 32 million. The repurchasing of shares will be conducted in accordance with the applicable regulations of the Oslo Stock Exchange and the Norwegian Securities Trading Act.Contact details,...

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Sbanken ASA: Iverksetter tilbakekjøp av egne aksjer for erverv til ledelse og styret

Sbanken ASA tilbyr aksjekjøpsprogram for ledelsen og styret hvor aksjene i programmet tilbys med 20 % rabatt og treårig bindingstid.Tegningsbeløp i aksjekjøpsprogrammet kan frem til 31. desember 2022 ikke overstige:* 5 millioner kroner for CEO* 4 millioner kroner for CFO* 3 millioner kroner for andre medlemmer av ledelsen* 2 millioner kroner for styreleder* 1 million kroner for styremedlemDet vises videre til børsmelding 24. april 2020 hvor selskapet ble gitt tillatelse til å erverve aksjer til en pris mellom 10 og 150 kroner per aksje for en total pålydende verdi på opptil 32 millioner kroner. Aksjene vil bli ervervet i henhold til gjeldende verdipapirlovning og Oslo Børs regelverk.Investorkontakter:Jesper M. Hatletveit, Investor Relations, Sbanken ASA, +47 959 40 045Henning Nordgulen, CFO, Sbanken ASA, +47 952 65 990Denne opplysningen...

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AB Traction: Delårsrapport januari – juni 2020

Perioden april – juniResultatet efter skatt uppgick till 167 (229) Mkr, vilket fördelar sig på:Aktiva innehav, noterade 71 (189) MkrAktiva innehav, onoterade 0 (0) MkrFinansiella placeringar 98 (42) MkrResultat per aktie uppgick till 11,26 (15,48) krSubstansvärdet per aktie ökade med 7 procent justerat för lämnad utdelningAvkastningen på noterade aktiva innehav uppgick till 9 procentPerioden januari – juni             Resultatet efter skatt uppgick till -496 (341) Mkr, vilket fördelar sig på:Aktiva innehav, noterade -246 (219) MkrAktiva innehav, onoterade -12 (0) MkrFinansiella placeringar -232 (126) MkrResultat per aktie uppgick till -33,52 (23,06) krAvkastningen på noterade aktiva innehav uppgick till drygt -22 procentSubstansvärdet per aktie uppgick till 165 (203) kr/aktieSubstansvärdet per aktie minskade med 17 (16) procent...

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Orion Group Half-Year Financial Report 1-6/2020

ORION CORPORATION            HALF-YEAR FINANCIAL REPORT 1-6/2020     17 JULY 2020 at 12:00 noon EEST Orion Group Half-Year Financial Report 1-6/2020This is a summary of Orion’s Half-Year Financial Report 1-6/2020. The complete report is attached to this stock exchange release and is available at https://www.orion.fi/en/Orion-group/investors/financial-reviews-and-presentations/Net sales were EUR 572 million (EUR 493 million in January–June 2019).Operating profit was EUR 181 (107) million.Both net sales and operating profit include a total of EUR 33 million milestone payments.Profit before taxes was EUR 180 (105) million.Equity ratio was 65% (73%).ROCE before taxes was 44% (27%).ROE after taxes was 38% (24%).Basic earnings per share were EUR 1.02 (0.59).Cash flow per share before financial items was EUR 0.90 (0.57).Outlook for 2020 was...

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Orion-konsernin puolivuosikatsaus 1-6/2020

ORION OYJ                  PUOLIVUOSIKATSAUS 1­-6/2020              17.7.2020  klo 12.00 Orion-konsernin puolivuosikatsaus 1-6/2020Tämä on tiivistelmä Orionin puolivuosikatsauksesta 1-6/2020. Puolivuosikatsaus kokonaisuudessaan on tämän pörssitiedotteen liitteenä sekä saatavilla osoitteessa https://www.orion.fi/konserni/sijoittajat/taloudelliset-katsaukset/Liikevaihto oli 572 miljoonaa euroa (493 miljoonaa euroa vuoden 2019 tammi-kesäkuussa).Liikevoitto oli 181 (107) miljoonaa euroa.Liikevaihto ja liikevoitto sisältävät yhteensä 33 miljoonaa euroa etappimaksuja.Voitto ennen veroja oli 180 (105) miljoonaa euroa.Omavaraisuusaste oli 65 % (73 %).Sijoitetun pääoman tuotto ennen veroja oli 44 % (27 %).Oman pääoman tuotto verojen jälkeen oli 38 % (24 %).Laimentamaton osakekohtainen tulos oli 1,02 (0,59) euroaOsakekohtainen rahavirta ennen rahoituseriä...

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Acron Group’s Commercial Output Up 3% in H1 2020

17 July 2020Acron Group’s Commercial Output Up 3% in H1 2020Group’s consolidated output (including operating results for Acron, Dorogobuzh and North-Western Phosphorous Company)Note: Commercial output is output less in-house consumptionComments from Alexander Popov, Chairman of Acron’s Board of Directors:“In H1 2020, Acron Group beat its previous record for commercial output. In the reporting period, the Group produced 3,921,000 tonnes of commercial products up 3% year-on-year. Mineral fertiliser output was up 1% to 3,231,000 tonnes.“Ammonia output increased 1% to 1,374,000 tonnes, and ammonia processed into finished products went up 10% to a record 1,306,000 tonnes. We plan to further increase our ammonia output by the end of 2020 by upgrading the Ammonia-4 unit, which will expand its capacity to 900,000 tonnes per annum. In the reporting...

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Workday nommé parmi les leaders du Magic Quadrant Gartner dédié aux solutions Cloud de gestion financière pour les ETI, grandes entreprises et multinationales

PARIS, 17 juill. 2020 (GLOBE NEWSWIRE) — Workday (NASDAQ:WDAY), l’un des leaders des solutions Cloud pour la gestion financière et les ressources humaines, est une nouvelle fois distingué par le cabinet Gartner, Inc. dans la dernière édition du Magic Quadrant des solutions Cloud de gestion financière pour les ETI, grandes entreprises et multinationales1, et ce pour la quatrième année consécutive.Aujourd’hui plus que jamais, les entreprises ont besoin d’un partenaire de confiance pour s’adapter au climat d’incertitude actuel, soutenir leurs opérations essentielles, et assurer la continuité de leur activité. Les DAF se tournent ainsi vers Workday pour les aider à planifier, exécuter et analyser grâce à son système unique. Workday continue d’investir dans son offre principale de gestion financière, Workday Financial Management, qui...

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Workday nominata Leader nel Magic Quadrant di Gartner per le Suite Cloud Core Financial Management rivolte alle medie e grandi imprese globali

MILAN, Italy, July 17, 2020 (GLOBE NEWSWIRE) — Workday (NASDAQ:WDAY), leader delle applicazioni cloud aziendali per la gestione finanziaria e le risorse umane, ha annunciato oggi il posizionamento nel quadrante Leader del Magic Quadrant 2020 di Gartner per le suite Cloud Core Financial Management per le medie e grandi imprese globali[1] per il quarto anno consecutivo.

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