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Ayvens Completes 98.4% of Its Share Buyback Program

Ayvens has announced the completion of 98.4% of its ordinary share buyback program, totaling 360 million euros, as stated in a recent press release.


Ayvens Completes 98.4% of Its Share Buyback Program

Launch and Execution of the Buyback Program

According to the company, Ayvens' share buyback program was initiated on October 31, 2025, with the aim of canceling the repurchased shares. All necessary approvals from regulatory authorities have been obtained. The program complies with the conditions set during the general meeting of shareholders on May 19, 2025, and presented on May 20, 2025. The buybacks are carried out on trading platforms where Ayvens shares are listed, including the regulated market of Euronext Paris. The liquidity contract with BNP Paribas Exane was temporarily suspended during the buyback period.

Details of Recent Transactions

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During the period from December 1 to December 5, 2025, Ayvens purchased a total of 1,150,505 shares. The transactions were executed at an average daily weighted purchase price of 11.23 euros per share. These purchases took place across multiple markets, including XPAR, DXE, TQE, and AQE. For instance, on December 1, Ayvens acquired 77,009 shares on the XPAR market at an average price of 11.06 euros per share, while on December 5, 57,132 shares were bought on the same market at an average price of 11.41 euros per share.

Corporate Profile and Sustainability Goals

Ayvens, a global player in sustainable mobility, focuses on the continuous improvement of mobility by providing comprehensive leasing services, flexible subscriptions, fleet management, and multi-mobility solutions. The company, which employs over 14,000 people in 41 countries, owns a fleet of 3.2 million vehicles and positions itself as a leader towards a carbon-neutral future. Ayvens is listed on compartment A of Euronext Paris, with Societe Generale as its major shareholder.



Sector Services financiers Services de location et de leasing


Assurance vie

Context

Period
  • Period: 3T 2025
Guidance from the release
  • delivering value to shareholders
  • Résultats solides : résultat net part du groupe 273 millions d’euros (+85,9 %), gross operating income 651 millions d’euros (+17,6 %) ; Leasing and Services margins 776 millions d’euros ; confirmation de l’intégration ALD LeasePlan et de la trajectoire de synergies ; programme de rachat de 360 millions d’euros et distribution totale annoncée 700 millions d’euros.
Risks mentioned
  • Évolution des earning assets : -1,0 % vs septembre 2024
  • Baisse des contrats de flotte : -3,7 % vs T3 2024
  • Cost of risk : 22 points de base
  • Net prospective depreciation : -80 millions d’euros
Opportunities identified
  • Objectif de synergies 2025 : 251 millions d’euros
  • Synergies réalisées depuis l’intégration : 104 millions d’euros
  • EV penetration (immatriculations passagers) élevée : 39 %

The information presented in this article is provided for informational purposes only and does not constitute an investment recommendation, an incentive to buy or sell a financial asset, or investment advice. Readers are invited to conduct their own research before making any decision.

Investments in the stock market involve risks, including the risk of capital loss. Past performance of an asset or market is no guarantee of future results. Any investment decision should be made taking into account your personal financial situation, objectives and risk tolerance.

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