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Day: July 30, 2020

BMC Receives David Weekley Homes’ Prestigious National Preferred Partners Award

RALEIGH, N.C., July 30, 2020 (GLOBE NEWSWIRE) — BMC Stock Holdings, Inc. (Nasdaq: BMCH) (“BMC” or the “Company”), one of the nation’s leading providers of diversified building materials and solutions to new construction builders and professional remodelers in the U.S., announced today it has been named a National Preferred Partner by David Weekley Homes, the nation’s largest privately-held home builder. The annual award recognizes field and manufacturing partners that have consistently operated at world-class levels, as determined by the home builder’s supplier evaluation platform. This comprehensive process, anchored by the 16th annual National Preferred Trading Partner Survey, evaluates companies in the areas of quality and customer service.“We’re honored to receive this coveted award,” said John Osborne, VP of National Accounts...

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Landsbankinn hf.: Uppgjör Landsbankans fyrir fyrri helming ársins 2020

Hagnaður Landsbankans á öðrum ársfjórðungi 2020 nam 341 milljón króna.Afkoma bankans var neikvæð um 3,3 milljarða króna eftir skatta á fyrri helmingi ársins 2020.Landsbankinn færði 13,4 milljarða króna í virðisrýrnunarsjóð á fyrri helmingi ársins.Rekstrarkostnaður lækkar milli ára.Landsbankinn hefur aldrei lánað jafn mikið til heimila eins og á fyrri árshelmingi 2020 og hefur bætt verulega við markaðshlutdeild sína í íbúðalánum.Innlán jukust um 51 milljarð króna frá áramótum, sem er 7,2% aukning.Landsbankinn er með sterka eiginfjár- og lausafjárstöðu sem eru vel umfram kröfur eftirlitsaðila.Afkoma Landsbankans var neikvæð um 3,3 milljarða króna eftir skatta á fyrri helmingi ársins 2020 samanborið við 11,1 milljarðs króna hagnað á sama tímabili árið 2019. Virðisrýrnun útlána nam 13,4 milljörðum króna á tímabilinu sem jafngildir um 1,1% af...

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Landsbankinn hf.: Financial results of Landsbankinn in H1 of 2020

Landsbankinn’s profit in the second quarter of 2020 was ISK 341 million.After-tax performance was negative by ISK 3.3 bn during the first half of 2020.Landsbankinn allocated ISK 13.4 bn to the impairment fund in the first half of the year.Operating costs decreased between years.Landsbankinn has never granted as many loans to households as in the first part of the year 2020, and has significantly increased its market share with regard to residential mortgages.Deposits grew by ISK 51 bn from the beginning of the year, representing a 7.2% increase.Landsbankinn is in a strong position with regard to its equity and liquidity, well above regulatory limits.Landsbankinn’s after-tax performance was negative by ISK 3.3 billion during the first half of 2020, compared with a profit of ISK 11.1 billion during the same period in 2019. Loan...

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ARTEA : Chiffre d’affaires du 1er semestre 2020. Bonne résistance du chiffre d’affaires récurrent. Activité promotion en part du groupe stable.

Chiffre d’affaires du 1er semestre 2020Bonne résistance du chiffre d’affaires récurrentCroissance de l’activité foncière (+8%) – Taux d’occupation 96 %Hausse des revenus de la branche Energie à 1,5 M€ (+15%)Activité promotion en part du groupe stableMalgré le contexte Covid, Artea démontre la résilience de son modèle.Le chiffre d’affaires s’établit à 11,3 M€ contre 13,9 M€ en 2019. L’analyse de l’activité fait ressortir :Une stabilité des revenus récurrents dans un contexte très affecté au deuxième trimestre par la crise sanitaire Covid ;Un recul des activités promotion lié au décalage du planning de livraison des immeubles suite au Covid.Le chiffre d’affaires des activités récurrentes enregistre :Une hausse des revenus fonciers de 8 %, liée principalement aux livraisons réalisées en 2019, dont notamment le bâtiment A de l’Arteparc...

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Klépierre: SEMI-ANNUAL STATEMENT OF LIQUIDITY AGREEMENT

REGULATED RELEASESEMI-ANNUAL STATEMENT OF LIQUIDITY AGREEMENTParis – July 30, 2020In accordance with the provisions of the French Financial Markets Authority’s decision no. 2018-01 of July 2, 2018 establishing liquidity contracts as an accepted market practice, Klépierre informs the public of the implementation of the liquidity contract for the first-half 2020:Available resources on June 30, 2020: 53,500 Klépierre shares and 9,515,058.56 euros;Number of transactions on buy side over first-half 2020: 1,005;Number of transactions on sell side over first-half 2020: 1,108;Traded volume on buy side over first-half 2020: 273,801 shares for 8,831,848 euros;Traded volume on sell side over first-half 2020: 220,301 shares for 7,142,559 euros.As a reminder,At December 31, 2019, available resources were 0 Klépierre share and11,206,268.00 euros. At...

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Klépierre: BILAN SEMESTRIEL DU CONTRAT DE LIQUIDITÉ

COMMUNIQUÉ DE PRESSEBILAN SEMESTRIELDU CONTRAT DE LIQUIDITÉParis, le 30 juillet 2020Conformément aux dispositions de la décision de l’Autorité des marchés financiers no 2018-01 du 2 juillet 2018 instaurant les contrats de liquidité sur titres de capital au titre de pratique de marché admise, Klépierre informe le public du bilan du contrat de liquidité sur le 1er semestre 2020 :Moyens disponibles au 30 juin 2020 : 53 500 actions Klépierre et 9 515 058,56 euros ;Nombre de transactions exécutées sur le semestre à l’achat : 1 005 ;Nombre de transactions exécutées sur le semestre à la vente : 1 108 ;Volume échangé sur le semestre à l’achat : 273 801 titres pour 8 831 848 euros ;Volume échangé sur le semestre à la vente : 220 301 titres pour 7 142 559 euros.Il est rappelé que :Au 31 décembre 2019, les moyens disponibles étaient de 0 action...

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AKWEL: PUBLICATION OF TURNOVER FIGURES FOR THE 1st HALF OF 2020

                                                                                                                                                                   Thursday 30 July 2020PUBLICATION OF TURNOVER FIGURES FOR THE 1st HALF OF 2020

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AKWEL : PUBLICATION DU CHIFFRE D’AFFAIRES DU 1er SEMESTRE 2020

                                                                                                                                                                        Jeudi 30 juillet 2020PUBLICATION DU CHIFFRE D’AFFAIRES DU 1erSEMESTRE 2020

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Casino Group: Release of the H1 2020 financial report

RELEASE OF THE HALF YEAR 2020 FINANCIAL REPORT The Group has released its half year 2020 financial report, in French, on its website. It is available following this link: https://www.groupe-casino.fr/wp-content/uploads/2020/07/RAPPORT-FINANCIER-AU-30-JUIN-2020.pdfANALYST AND INVESTOR CONTACTSLionel Benchimol – +33 (0)1 53 65 64 17lbenchimol@groupe-casino.fror+33 (0)1 53 65 24 17IR_Casino@groupe-casino.frPRESS CONTACTSCasino Group – Communications DepartmentStéphanie Abadie – sabadie@groupe-casino.fr – +33 (0)6 26 27 37 05or+33 (0)1 53 65 24 78 – directiondelacommunication@groupe-casino.frAgence IMAGE 7Karine Allouis – +33 (0)1 53 70 74 84 – kallouis@image7.frFranck Pasquier – +33 (0)6 73 62 57 99 – fpasquier@image7.fr Disclaimer This press release was prepared solely for information purposes, and should not be construed as a solicitation...

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Groupe Casino : Mise à disposition du rapport financier semestriel 2020

 MISE A DISPOSITION DU RAPPORT FINANCIER SEMESTRIEL 2020 Le Groupe indique qu’il a mis à disposition du public son rapport financier semestriel 2020 en français sur son site à l’adresse suivante : https://www.groupe-casino.fr/wp-content/uploads/2020/07/RAPPORT-FINANCIER-AU-30-JUIN-2020.pdfCONTACTS ANALYSTES ET INVESTISSEURSLionel BENCHIMOL – Tél : +33 (0)1 53 65 64 17lbenchimol@groupe-casino.frou+33 (0)1 53 65 24 17IR_Casino@groupe-casino.frCONTACTS PRESSEGroupe Casino – Direction de la CommunicationStéphanie ABADIE – sabadie@groupe-casino.fr – +33 (0)6 26 27 37 05ou+33(0)1 53 65 24 78 – directiondelacommunication@groupe-casino.frAgence IMAGE 7Karine ALLOUIS – Tel : +33(0)1 53 70 74 84 – kallouis@image7.frFranck PASQUIER – Tel : +33 (0)6 73 62 57 99 – fpasquier@image7.fr Disclaimer Ce communiqué a été préparé...

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