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Manager transaction detail: CP INVEST

Date of publication
06/02/2023
Notifying person
Van Zeebroeck Filip
Declarer Type
Member of administrative management or supervisory body
Issuer
CP INVEST
Instrument Type
Share
Instrument ISIN Code
BE0974273055
Transaction Type
Purchase / Acquisition
Transaction Type Specifications
Primary market: subscription to a capital increase or debt instrument issuance
Transaction Place
Euronext Brussels
Transaction Date
Transaction Currency
EUR
Transaction Quantity
2.801
Transaction Price
13,20
Transaction Amount
34.576,80
Transaction detail
Transaction Quantity Transaction Price Transaction Amount
402
14.40
5788.80
2399
12.00
28788.00
Body

Deelname Rights Issue - transactie van 2399 aandelen is op basis van coupons verbonden aan bestaande aandelen