Share buybacks

Pursuant to French and European regulation the transactions on its own shares completed by Parrot are posted here and sent to the AMF when buybacks are ongoing. Following the share buyback programs, the information is summarized below.
Dates and numbers are in French format.

Share buyback program June 2019:
Description of the share buyback program implemented by the Board of Directors as authorized at the Combined General Meeting on June 13, 2019in french - 14/06/2019


Share buyback program June 2018:
Description of the share buyback program implemented by the Board of Directors as authorized at the Combined General Meeting on June 12, 2018  - 13/06/2018
HY report on liquidity agreement as of december 31, 2018 - 30/01/2019
HY report on liquidity agreement and transfer of the contract initially contracted with NATIXIS to ODDO BHF - 05/07/2018


Share buyback program June 2017:
Description of the share buyback program implemented by the Board of Directors as authorized at the Combined General Meeting on June 21, 2017 - in french21/06/2017
HY report on liquidity agreement as of December 31, 2017 - 05/01/2018 
HY report on liquidity agreement as of June 30, 2017 - 06/07/2017


Share buyback program June 2016:
Description of the share buyback program implemented by the Board of Directors as authorized at the Combined General Meeting on June 16, 2016 - 17/06/2016

Transactions completed by Parrot :

Total number of shares purchased Weighted average acquisition price
300 000 11,61

HY report on liquidity agreement as of December 31, 2016 - 05/01/2017
HY report on liquidity agreement as of June 30, 2016 - 04/07/2016


Share buyback program June 2015: 
Description of the share buyback program implemented by the Board of Directors as authorized at the Combined General Meeting on June 30, 2015 - 01/07/2015

Transactions completed by Parrot :

Total number of shares purchased Weighted average acquisition price
136 510 14,7023

HY report on liquidity agreement as of December 31, 2015 - 07/01/2016
HY report on liquidity agreement as of June 30, 2015 - 02/07/2015


Share buyback program June 2014: 
Description of the share buyback program implemented by the Board of Directors as authorized at the Combined General Meeting on June 11, 2014 - 12/06/2014

Total number of shares purchased Weighted average acquisition price
150 000 20,2215

HY report on liquidity agreement as of December 31, 2014 - 09/01/2015
HY report on liquidity agreement as of June 30, 2014 - 03/07/2014

Information relating to previous capital reduction through share cancellation:
Cancellation of treasury shares (March 2015) - 11/03/2015
Cancellation of treasury shares (May 2013) - 24/05/2013
Cancellation of treasury shares (March 2012) - 12/03/2012
Cancellation of treasury shares (July 2010) - 02/08/2010
Cancellation of treasury shares (July 2009) - 10/07/2009
Cancellation of treasury shares (May 2009) - 15/05/2009