Implementation of a New Liquidity Contract
Air France-KLM (AFLYY) has announced the implementation of a new liquidity contract with Rothschild Martin Maurel for its ordinary shares. The contract, effective August 1, 2025, aims to enhance share liquidity and maintain regular trading on the Euronext Paris market.
The company has allocated €10 million to the liquidity account. The initial contract term is 12 months with automatic renewal options. Rothschild Martin Maurel will serve as the market maker, promoting transaction liquidity and regular share price listings.
Air France-KLM (AFLYY) ha annunciato l'attivazione di un nuovo contratto di liquidità con Rothschild Martin Maurel per le sue azioni ordinarie. Il contratto, valido a partire dal 1 agosto 2025, ha l'obiettivo di migliorare la liquidità delle azioni e garantire una negoziazione regolare sul mercato Euronext Paris.
L'azienda ha stanziato 10 milioni di euro per il conto di liquidità. La durata iniziale del contratto è di 12 mesi con opzioni di rinnovo automatico. Rothschild Martin Maurel agirà come market maker, favorendo la liquidità delle transazioni e la regolarità delle quotazioni delle azioni.
Air France-KLM (AFLYY) ha anunciado la implementación de un nuevo contrato de liquidez con Rothschild Martin Maurel para sus acciones ordinarias. El contrato, que entrará en vigor el 1 de agosto de 2025, tiene como objetivo mejorar la liquidez de las acciones y mantener una negociación regular en el mercado Euronext París.
La compañía ha asignado 10 millones de euros a la cuenta de liquidez. El plazo inicial del contrato es de 12 meses con opciones de renovación automática. Rothschild Martin Maurel actuará como creador de mercado, promoviendo la liquidez de las transacciones y la regularidad en la cotización de las acciones.
에어프랑스-KLM (AFLYY)은(는) 자사 보통주에 대해 Rothschild Martin Maurel과 새로운 유동성 계약을 체결했다고 발표했습니다. 이 계약은 2025년 8월 1일부터 발효되며, 주식 유동성을 향상시키고 유로넥스트 파리 시장에서의 정기적인 거래를 유지하는 것을 목표로 합니다.
회사는 유동성 계좌에 1,000만 유로를 할당했습니다. 초기 계약 기간은 12개월이며 자동 갱신 옵션이 포함되어 있습니다. Rothschild Martin Maurel은 시장 조성자로서 거래 유동성과 주가의 정기적인 상장을 촉진할 것입니다.
Air France-KLM (AFLYY) a annoncé la mise en place d’un nouveau contrat de liquidité avec Rothschild Martin Maurel pour ses actions ordinaires. Ce contrat, effectif à compter du 1er août 2025, vise à améliorer la liquidité des actions et à assurer une négociation régulière sur le marché Euronext Paris.
La société a alloué 10 millions d’euros au compte de liquidité. La durée initiale du contrat est de 12 mois avec des options de renouvellement automatique. Rothschild Martin Maurel agira en tant que teneur de marché, favorisant la liquidité des transactions et la régularité des cotations des actions.
Air France-KLM (AFLYY) hat die Einführung eines neuen Liquiditätsvertrags mit Rothschild Martin Maurel für seine Stammaktien bekannt gegeben. Der Vertrag, der ab dem 1. August 2025 wirksam ist, soll die Aktienliquidität verbessern und den regelmäßigen Handel am Euronext-Paris-Markt sicherstellen.
Das Unternehmen hat 10 Millionen Euro für das Liquiditätskonto bereitgestellt. Die ursprüngliche Vertragslaufzeit beträgt 12 Monate mit automatischen Verlängerungsoptionen. Rothschild Martin Maurel wird als Market Maker fungieren und die Transaktionsliquidität sowie die regelmäßige Notierung der Aktien fördern.
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Paris, August 1st, 2025
Implementation of a New Liquidity Contract
Air France-KLM announces the implementation of a liquidity contract for its ordinary shares (ISIN Code: FR001400J770) with Rothschild Martin Maurel, within the framework of the regulations in force, and in particular AMF Decision no. 2021-01 of 22 June 2021.
The purpose of this agreement is for Rothschild Martin Maurel to act as a market maker for Air France-KLM shares on the regulated market of Euronext Paris to promote the liquidity of transactions and the regularity of the listing of Air France-KLM shares.
To implement this contract, 10 million euros have been allocated to the liquidity account.
This contract will take effect on 1 August 2025 and will have an initial term of 12 months, renewable automatically for successive 12-month periods.
This agreement may be suspended in the cases provided for in article 5 of chapter II of AMF decision no. 2021-01 of 22 June 2021. It may also be suspended at Air France-KLM's request for technical reasons, such as the counting of shares carrying voting rights prior to a general meeting or the counting of shares carrying dividend rights prior to detachment of the coupon, for a period defined by Air France-KLM.
Investor Relations
Michiel Klinkers Marouane Mami
michiel.klinkers@airfranceklm.com marouane.mami@airfranceklm.com
Website : www.airfranceklm.com
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