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Bonduelle - Statement of repurchase of shares

Statement of repurchase of shares

Aggretated presentation by day and by trading venue

Issuer's name

Legal Entity Identifier (LEI)

Date of the execution of the transaction

International Securities Identification Numbers
(ISIN Code)

Aggregated volume per day (number of shares)

Weighted average price per day

Trading venue

BONDUELLE

969500QVHHN3NNVYRE94

19/11/2021

FR0000063935

3 666

22,3515

Euronext

BONDUELLE

969500QVHHN3NNVYRE94

18/11/2021

FR0000063935

1 212

22,5

Euronext

BONDUELLE

969500QVHHN3NNVYRE94

17/11/2021

FR0000063935

2 352

22,3519

Euronext

BONDUELLE

969500QVHHN3NNVYRE94

16/11/2021

FR0000063935

2 218

22,4235

Euronext

BONDUELLE

969500QVHHN3NNVYRE94

15/11/2021

FR0000063935

3 320

22,3621

Euronext

Attachment