Crédit Agricole Reduces the Funding of Its Liquidity Contract with Kepler Cheuvreux
Crédit Agricole Group has withdrawn 1.5 million euros from its liquidity contract managed by Kepler Cheuvreux, as announced in a press release dated December 19, 2025. This action aims to adjust the funding provided for the trading of the bank's shares on Euronext Paris.
Details of the Withdrawal
According to the press release, Crédit Agricole S.A. withdrew 1.5 million euros from the liquidity account managed by Kepler Cheuvreux on December 19, 2025. The contract, originally signed on October 25, 2006, and subsequently updated in January 2019, July 2020, and March 2022, was initially endowed with a fund of 50 million euros. The purpose of this arrangement remains to facilitate the trading of the banking group's shares on the regulated market of Euronext Paris. The operation was conducted in accordance with the European Market Abuse Regulation and the decision of the French Financial Markets Authority dated June 22, 2021, as stated by the company.
Post-Withdrawal Contract Status
Following this withdrawal operation, the liquidity contract displayed a cash position of 43,442,934.57 euros and 334,529 Crédit Agricole S.A. shares as of December 19, 2025, according to information provided by the group. This reduction of resources is part of an adjustment of the funds available for this contract. Detailed information about this operation is available on the Crédit Agricole S.A. website, in the section dedicated to regulated information.