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Day: January 8, 2021

Indkaldelse til ekstraordinær generalforsamling i Nykredit Realkredit A/S

Til Nasdaq Copenhagen8. januar 2021Indkaldelse til ekstraordinær generalforsamling i Nykredit Realkredit A/SNykredit Realkredit A/S afholder ekstraordinær generalforsamling mandag den 25. januar 2021 kl. 11.00 på selskabets adresse, Kalvebod Brygge 1-3, 1560 København V.-o0o-Dagsorden:2. Optagelse af nye binavne i vedtægterne.3. Optagelse af bestemmelse om fondsreserve i vedtægterne.4. Bemyndigelse. Dagsordenen for selskabets generalforsamling og de fuldstændige forslag er indeholdt i denne indkaldelse.Følgende dokumenter, der skal fremlægges på generalforsamlingen, vil være overbragt til selskabets eneaktionær Nykredit A/S forud for generalforsamlingens afholdelse:Fusionsplan af 11. december 2020 med bilagVurderingsmandserklæring om kreditorernes stilling af 21. december 2020Udkast til opdaterede vedtægter Ad dagsordenens pkt. 1Bestyrelsen...

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Correction: Bilan semestriel du contrat de liquidité

Information réglementéeParis, le 6 janvier 2021Au titre du contrat de liquidité confié par la société Orange à Rothschild Martin Maurel, les moyens suivants figuraient au compte de liquidité à la date du 31 décembre 2020 :0 titre50.473.711,29 eurosIl est rappelé que figuraient au compte de liquidité les moyens suivants :– Au 30 juin 2020 :955.000 titres40.235.031,75 euros– A la signature du nouveau contrat de liquidité, le 11 février 2019 :950.000 Titres37.913.500,00 eurosOrange publie par ailleurs ci-après, pour chaque journée de négociation du 2ème semestre 2020, le nombre de transactions exécutées et le volume échangé en nombre de titres et en capitaux, à l’achat et à la vente.Contacts presse: +33 1 44 44 93 93Tom Wright, tom.wright@orange.comOlivier Emberger, olivier.emberger@orange.comPièce jointe2021 01 06 CP Bilan_Ct_Liquidite_S2_2020...

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Correction: Half-yearly report on the Orange liquidity contract

Regulated informationParis, 6 January 2021As part of the liquidity contract signed by Orange with Rothschild Martin Maurel, the following assets appeared on the liquidity account as of 31 December 2020:0 Orange share50,473,711.29 eurosAs a reminder, the following assets appeared on the liquidity account:– As of 30 June 2020:955,000 Orange share40,235,031.75 euros– As of the date of signature of the new liquidity contract on 11 February 2019:950,000 Orange share37,913,500.00 eurosIn addition, Orange publishes thereafter, for each trading day during the last 6 months of 2020, the number of transactions entered into as well as the volume of shares and the amount of equity purchased and sold.Press contacts: +33 1 44 44 93 93Tom Wright, tom.wright@orange.comOlivier Emberger, olivier.emberger@orange.comAttachment2021 01 06 CP Bilan_Ct_Liquidite_S2_2020...

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Nexus REIT is Poised to Increase Its Industrial Portfolio Weighting Through New Acquisitions

TORONTO and MONTREAL, Jan. 08, 2021 (GLOBE NEWSWIRE) — Nexus Real Estate Investment Trust (the “REIT”) (TSXV: NXR.UN) is pleased to announce that it has entered into a conditional agreement to purchase six industrial assets in London, Ontario, and a conditional agreement to purchase two industrial buildings in Edmonton, Alberta, and has completed the acquisition of a previously announced acquisition in Ajax, Ontario.The REIT has entered into conditional agreements of purchase and sale for industrial properties totalling $117,500,000, which will add 1,299,340 square feet of gross leasable area (GLA) to its portfolio. Upon completion of these acquisitions, the REIT expects that the percentage of net rental income derived from its industrial portfolio will increase from approximately 61% to approximately 67%. Units issued...

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FPI Nexus se positionne pour accroître la pondération de son portefeuille industriel grâce à de nouvelles acquisitions

MONTRÉAL et TORONTO, 08 janv. 2021 (GLOBE NEWSWIRE) — Le Fonds de Placement Immobilier Nexus (le « FPI Nexus » ou le « FPI ») (TSXV : NXR.UN) est heureux d’annoncer qu’il a conclu une entente conditionnelle pour l’achat de six propriétés industrielles à London (Ontario) et une entente conditionnelle pour l’achat de deux immeubles industriels à Edmonton (Alberta), et a complété une acquisition précédemment annoncée à Ajax (Ontario).Le FPI a conclu des ententes conditionnelles d’achat et de vente de propriétés industrielles totalisant 117 500 000 $, ce qui ajoutera 1 299 340 pieds carrés de superficie locative brute (SLB) à son portefeuille. À l’issue de ces acquisitions, le FPI prévoit que le pourcentage du bénéfice d’exploitation net provenant de son portefeuille industriel passera d’environ...

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MercadoLibre, Inc. Announces Pricing of Inaugural Debt Offering

BUENOS AIRES, Argentina, Jan. 08, 2021 (GLOBE NEWSWIRE) — MercadoLibre, Inc. (Nasdaq:MELI), Latin America’s leading e-commerce technology company, today announced the pricing of its public offering of $400,000,000 2.375% notes due 2026 and $700,000,000 3.125% notes due 2031 (the “Notes”). The offering is MercadoLibre’s first offering of debt securities.The 2.375% notes due 2026 are guaranteed senior sustainable notes (the “Sustainable Notes”). MercadoLibre intends to use the net proceeds from the sale of the Sustainable Notes to finance or refinance, in whole or in part, one or more new or existing Eligible Projects, which are defined investments and expenditures made by MercadoLibre or any of MercadoLibre’s subsidiaries after the issuance date of the Sustainable Notes or made by MercadoLibre or its subsidiaries in the 24 months...

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Biofrontera announces preliminary revenue figures for the full year 2020

Leverkusen, Germany, Jan. 08, 2021 (GLOBE NEWSWIRE) — Biofrontera AG (NASDAQ: BFRA; Frankfurt Stock Exchange: B8F) (the “Company”), an international biopharmaceutical company, today reported preliminary, unaudited revenue for the full year 2020.Biofrontera Group’s preliminary unaudited revenue for the period January 1 to December 31, 2020 was in the range of EUR 30.3 million to EUR 30.6 million compared to EUR 31.3 million in 2019.Preliminary revenues from product sales in the US were around EUR 16.6 million, compared to EUR 23.3 million in 2019 (-29%). In Germany, revenues from product sales amounted to approximately EUR 5.2 million, compared to EUR 4.6 million in fiscal year 2019 (+13%). In the rest of Europe, the Company generated product sales of around EUR 2.1 million, compared to EUR 2.6 million in 2019 (-18%).Total...

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FLEURY MICHON : Bilan semestriel du contrat de liquidité au 31 12 2020

FLEURY MICHON SABP 1 – 85700 POUZAUGESSociété Anonyme au capital de 13 382 658.85 eurosRCS la Roche sur Yon B 572 058 329 – Code APE 7010 ZBILAN SEMESTRIEL DU CONTRAT DE LIQUIDITE CONTRACTE AVEC LE CREDIT INDUSTRIEL ET COMMERCIALAu titre du contrat de liquidité confié par la société FLEURY MICHON au CREDIT INDUSTRIEL ET COMMERCIAL, à la date du 31 décembre 2020, les moyens suivants figuraient au compte de liquidité :1 727 titres 37 479,40 €Au cours du 2ème semestre 2020, il a été négocié un total de :18 514 titres à l’achat pour un montant de 445 351,80 € 17 305 titres à la vente pour un montant de 418 903,00 €             Sur cette même période, ont été exécutés :675 transactions à l’achat 647 transactions à la venteIl est rappelé que lors de la signature du contrat, les moyens suivants figuraient au compte de liquidité :2 395 titres 33 683,21...

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ShotSpotter to Present at the 23rd Annual Needham Growth Conference on January 14, 2021

NEWARK, Calif., Jan. 08, 2021 (GLOBE NEWSWIRE) — ShotSpotter, Inc. (NASDAQ: SSTI), a leader in precision policing solutions that enable law enforcement to more effectively respond to, investigate and deter crime, has been invited to present at the 23rd Annual Needham Growth Conference, which is being held virtually on January 11-15, 2021.ShotSpotter management is scheduled to present on Thursday, January 14 at 4:15 p.m. Eastern time, with one-on-one meetings to be held on Wednesday and Thursday, January 13-14. The company’s presentation will be webcast live and available for replay here.To receive additional information or to schedule a one-on-one meeting, please contact ShotSpotter’s IR team at SSTI@gatewayir.com.   About ShotSpotter, Inc.ShotSpotter (NASDAQ: SSTI) is a leader in precision policing solutions that enable law enforcement...

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Crédit Agricole Ille-et-Vilaine : Bilan semestriel de liquidité au 31/12/2020

CR CA ILLE ET VILAINE–Siège social : 4 rue Braille – 35136 Saint-Jacques-de-la-Lande775 590 847 RCS RennesParis, le 1er janvier 2021Bilan semestriel du contrat de liquidité de la société CR CA ILLE ET VILAINEAu titre du contrat de liquidité confié par la société CR CA ILLE ET VILAINE à Kepler Cheuvreux, à la date du 31 décembre 2020, les moyens suivants figuraient au compte de liquidité :–   9 403 titres–   1 165 292.29 € en espèces–    Nombre de transactions exécutées sur le semestre à l’achat : 315–    Nombre de transactions exécutées sur le semestre à la vente : 262–    Volume échangé sur le semestre à l’achat : 3 908 titres pour 320 267.39 €–    Volume échangé sur le semestre à la vente : 2 522 titres pour 202 709.02 €Il est rappelé :•    que lors du dernier bilan du 30 juin...

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