Regulatory News:

Pursuant to applicable regulation, Lagardère SCA (Paris:MMB) declares hereafter the transactions in its own shares executed from 4 October to 11 October within the scope of the mandate entered into with an investment services provider, as announced on 3 and 25 September 2019.

Name of the Issuer

Issuer Identity Code (LEI)

Trading Day

ISIN

Aggregated volume per day (number of shares)

Weighted average price per day

Market

(MIC Code)

LAGARDÈRE SCA

969500VX2NV2AQQ65G45

2019-10-04

FR0000130213

50000

19,7741

XPAR

LAGARDÈRE SCA

969500VX2NV2AQQ65G45

2019-10-07

FR0000130213

50000

19,7322

XPAR

LAGARDÈRE SCA

969500VX2NV2AQQ65G45

2019-10-08

FR0000130213

50000

19,6365

XPAR

LAGARDÈRE SCA

969500VX2NV2AQQ65G45

2019-10-09

FR0000130213

50000

19,7984

XPAR

LAGARDÈRE SCA

969500VX2NV2AQQ65G45

2019-10-10

FR0000130213

7129

19,8107

XPAR

Detailed information on the transactions, given in an aggregate form per trading day in the above table, are available on the website www.lagardere.com in the section Investor Relations / Regulated Information.

LAGARDÈRE SCA

French partnership limited by shares with a capital of € 799,913,044.6 Registered office : 4 rue de Presbourg, 75016 Paris (France) 320 366 446 R.C.S. on the Paris Trade and Companies Register

Lagardère SCA

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