Universal Registration Document 2023

7. Parent Company 2023 Financial Statements - AFR

Note 10 Marketable securities

Marketable securities broke down as follows at December 31, 2023:

(in thousands of euros) December 31, 2023 December 31, 2022
Hors contrat de liquidité :

Hors contrat de liquidité :

December 31, 2023Excluding liquidity contract:

Hors contrat de liquidité :

December 31, 2022unspecified
Treasury shares

Treasury shares

December 31, 2023

262,899

Treasury shares

December 31, 2022

134,352

Held under the liquidity contract:

Held under the liquidity contract:

December 31, 2023unspecified

Held under the liquidity contract:

December 31, 2022unspecified
Money UCITS funds (SICAV)

Money UCITS funds (SICAV)

December 31, 2023

15,469

Money UCITS funds (SICAV)

December 31, 2022

12,354

Treasury shares

Treasury shares

December 31, 2023

1,791

Treasury shares

December 31, 2022

3,444

Provisions for impairment:

Provisions for impairment:

December 31, 2023unspecified

Provisions for impairment:

December 31, 2022unspecified
Excluding liquidity contract

Excluding liquidity contract

December 31, 2023-

Excluding liquidity contract

December 31, 2022-
Held under the liquidity contract

Held under the liquidity contract

December 31, 2023-

Held under the liquidity contract

December 31, 2022

(2)

Total marketable securities (net amount)

Total marketable securities (net amount)

December 31, 2023280,159

Total marketable securities (net amount)

December 31, 2022150,148

The movements for the financial year and position at the reporting date for marketable securities (excluding the liquidity contract) are summarized in the table below:

(in thousands of euros, except for share data) Number of shares Gross book value Impairment Net book value
Treasury shares held as marketable securities (excluding the liquidity contract) at December 31, 2022 Treasury shares held as marketable securities (excluding the liquidity contract) at December 31, 2022

Number of shares

2,261,871
Treasury shares held as marketable securities (excluding the liquidity contract) at December 31, 2022

Gross book value

134,352
Treasury shares held as marketable securities (excluding the liquidity contract) at December 31, 2022

Impairment

-
Treasury shares held as marketable securities (excluding the liquidity contract) at December 31, 2022

Net book value

134,352
Disposals (exercise of options) and delivery of free shares to employees

Disposals (exercise of options) and delivery of free shares to employees

Number of shares

(1,545,833)

Disposals (exercise of options) and delivery of free shares to employees

Gross book value

(93,304)

Disposals (exercise of options) and delivery of free shares to employees

Impairment

-

Disposals (exercise of options) and delivery of free shares to employees

Net book value

(93,304)
Share buyback

Share buyback

Number of shares

3,000,000

Share buyback

Gross book value

221 851

Share buyback

Impairment

-

Share buyback

Net book value

221,851

Treasury shares held as marketable securities (excluding the liquidity contract) at December 31, 2023

Treasury shares held as marketable securities (excluding the liquidity contract) at

December 31, 2023

Number of shares

3,716,038

Treasury shares held as marketable securities (excluding the liquidity contract) at

December 31, 2023

Gross book value

262,899

Treasury shares held as marketable securities (excluding the liquidity contract) at

December 31, 2023

Impairment

-

Treasury shares held as marketable securities (excluding the liquidity contract) at

December 31, 2023

Net book value

262,899

At December 31, 2023, 21,329 shares were held under the liquidity contract (versus 57,924 at December 31, 2022).

Note 11 Deferred expenses

This line item includes bond issuance costs and the arrangement of the syndicated and other credit lines, for the portion still to be amortized over the remaining life of the bonds and credit lines.

Deferred expenses at December 31, 2023 were composed of:

(in thousands of euros) December 31, 2023 December 31, 2022
Bond issuance costs

Bond issuance costs

December 31, 2023

209

Bond issuance costs

December 31, 2022

635

Costs of arranging credit lines

Costs of arranging credit lines

December 31, 2023

394

Costs of arranging credit lines

December 31, 2022

1,192

Total

Total

December 31, 2023603

Total

December 31, 20221,827