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Determination of the share reference price of VINCI’s shares, the initial conversion price and the initial conversion ratio of the €400 million cash-settled synthetic convertible bonds due February 2030

Vinci

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Document type

Issuer
Vinci
Filed
18/02/2025, 18:41
Document type
Inside information
AMF sub-type
Informations privilégiées
Language
English
AMF reference
119211_20250218