Half-yearly Report on the SFL Liquidity Contract

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PARIS--(BUSINESS WIRE)--Regulatory News: SFL (Paris:FLY): - Half-yearly report: At 30 June 2020, the following resources were available for transactions under the liquidity contract with Rothschild Martin Maurel: 350 shares €2 215 570.00 in cash Resources available at 31 December 2019 were as follows: 250 shares €2 224 024.00 in cash At 11 March 2019, the date on which the new liquidity contract was signed, the following resources were available: 2,025 shares €2,092,635.00 in cash - Number of t

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