Half-year statement of the liquidity contract subscribed with CM-CIC Securities
on bonds with a maturity date of July 18th, 2017 (FR 0011287879)

Foncière de Paris SIIC entrusted CM-CIC Securities with the management of the liquidity contract. On June 30th, 2016, the following assets were allocated to the liquidity account:

  • 0 « 2017 » bond,
  • €201,151.37 in cash.

It is reminded that the following assets were allocated to the liquidity account on December 31st, 2015:

  • 0 « 2017 » bond,
  • €201,151.37 in cash.

 Paris, on July 8th, 2016

FONCIERE DE PARIS SIIC
Limited company with an Executive Board and a Supervisory Board
With a capital of €154,426,125 - Paris Trade and Company Register no. B 331 250 472
43, rue Saint Dominique - 75007 Paris
Phone: 01 53 70 77 77 - Fax: 01 53 70 77 78
ISIN code: FR 0000034431 - Share ticket: FDPA
www.fonciere-de-paris.fr

FDP-PR LC 2017 bond 08-07-2016



This announcement is distributed by NASDAQ OMX Corporate Solutions on behalf of NASDAQ OMX Corporate Solutions clients.
The issuer of this announcement warrants that they are solely responsible for the content, accuracy and originality of the information contained therein.
Source: Foncière de Paris SIIC via Globenewswire

HUG#2027386