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Air France-klm Sa
Jan 23, 2026 at 4:45 PM UTC
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Half-year report on the liquidity contract signed between AIR France-KLM and Rothschild Martin Maurel

Paris, January 23, 2026

Half-year report on the liquidity contract signed between AIR France-KLM and Rothschild Martin Maurel

Under the liquidity contract entrusted by Air France-KLM to Rothschild Martin Maurel, as of December 31, 2025, the following assets were held in the liquidity account:

0 Securities
€9,942,376

During the period from August 1, 2025 to December 31, 2025, a total of:

 

Number of transactions performed

Number of shares traded

Transactions amounts in €

Purchase

19,770

6,715,379

80,103,544.01

Sale

23,921

6,715,379

79,962,657.33

It should be noted that upon its implementation on August 1, 2025, the following assets were held in the liquidity account:

0 Securities
€10,000,000

Relations Investisseurs

Michiel Klinkers                        Marouane Mami                                        

[email protected]        [email protected]

Website: www.airfranceklm.com

Attachment

  • Bilan semestriel du contrat de liquidité ENG VERSION