Skip to main content

5 publications

Name Date Type Actions

Bilan semestriel des moyens alloués au contrat de liquidité - french

Au titre du contrat de liquidité confié par la Société VETOQUINOL à la Société ODDO CORPORATE FINANCE, les moyens suivants figuraient au compte de liquidité au 30 juin 2019

 

03/07/2019 Liquidity contract

2018 registration document

Note to recipient of this document: this is the translation of an extract of the Registration Document and Annual Financial Report for the year ended December 31, 2018.

29/04/2019 Reference document

Bilan semestriel des moyens alloués au contrat de liquidité (2016) - french

Au 31 décembre 2016

07/01/2019 Liquidity contract

Bilan semestriel des moyens alloués au contrat de liquidité (2008) - french

Au 30 juin 2008

10/07/2008 Liquidity contract

Financial report 2007

Consolidated 2007 figures are even better than the targets in the business plan we presented for the initial public offering (IPO) in November 2006.
<br>
Revenues rose by 10.3% to 233.4 million euros (211.6 million euros in 2006), including 7.6% organic growth.
<br>
The operating profit from continuing operations increased by 13.9%, from 25.6 million euros in 2006 to 29.2 million euros in 2007.
<br>
Finally, net profit increased by 17.8% to 18.6 million euros in 2007 (15.8 million euros in 2006), for a net margin of 8% (7.5% the previous year).

15/05/2008 Reference document