— finance.

Welcome to FFP's investor relations section.

 

In this section you will find all the data about the FFP share, NAV and key figures, regulated information and the documents relating to the Annual General Meetings. 

key figures

 

NAV breakdown & graphs

Asset value.

The Net Asset Value corresponds, on a given date, to the market valuation of all assets held by FFP, less financial debts.

Access the detailed NAV chart

see detailed NAV

 

FFP's assets.

FFP's assets.

Assets   Investments

As at Dec 31, 2019

NAV evolution.

Total   Per share

 

  Investments
  PSA
  Debt

In € million

In €

Dividends.

Distributed   Per share

 

In € million

In €

Financing.

FFP disposes of bilateral credit facilities with leading financial institutions to finance its investments. In addition, FFP carried out private and public placements of bonds in order to complete its sources of financing.

 

In € million

Debt repayment schedule (bilateral credit lines and Euro PP). As of 31/12/2019.

Euro Private Placement

Euro PP 2025
Bond issue dated 3 July 2017, by way of a private placement (Euro PP), of an amount of €155m with a 8-year maturity (3 July 2025) and bearing interest at a rate of 2.5% per annum. Tap issue, on 6 December 2017, of an additional amount of €57.5m (assimilated and interchangeable bonds), bringing the total amount of this issue to €212.5m.

Emission date
03/07/2017
Total amount
€212.5m

Serial number
Type
Fixed Rate Notes
ISIN Code
FR0013265485

Place of registration
Euronext Access
Currency
EUR
Guarantee
Unsecured
Rate
2.5%
Euro PP 2026
Bond issue dated 6 December 2017, by way of a private placement (Euro PP), of an amount of €10m with a long 8-year maturity (2 January 2026) and bearing interest at a rate of 2.6% per annum.

Emission date
06/12/2017
Total amount
€10m

Serial number
Type
Fixed Rate Notes
ISIN Code
FR0013301033

Place of registration
Euronext Access
Currency
EUR
Guarantee
Unsecured
Rate
2.6%
Euro PP 2027
Bond issue dated 6 December 2017, by way of a private placement (Euro PP), of an amount of €20m with a 10-year maturity (6 December 2027) and bearing interest at a rate of 3.0% per annum.

Emission date
06/12/2017
Total amount
€20m

Serial number
Type
Fixed Rate Notes
ISIN Code
FR0013301041

Place of registration
Euronext Access
Currency
EUR
Guarantee
Unsecured
Rate
3.0%
Précédent
Suivant

Bond issuance

Eurobond 2026
Bond issuance on 28 October 2020, of an amount of €200 million with a 7-year maturity (October 2026) and bearing interest at a fixed rate of 1.875% per annum.

Emission date
30/10/2019
Total amount
€300m

Serial number
Type
Fixed Rate Note
ISIN Code
FR0013457405

Place of registration
Paris
Currency
EUR
Guarantee
Unsecured
Rate
1.875%
Précédent
Suivant

FFP share

 

FFP share in details

Downloads

2018 Registration Document

download

FFP share history

download

Fact sheet.

Company name
FFP
Market
Eurolist compartment B
Exchange
Euronext Paris
Sector
Portfolio company

Total number of shares
24,922,589

ISIN code
FR0000064784
Reuters code
FFPP.NC
Bloomberg code
FFP FP

Shareholder services – registered shares
CACEIS
To get information on your account:
CACEIS Corporate Trust – Service Relations Investisseurs
14 Rue Rouget de Lisle
92862 Issy-les-Moulineaux Cedex 9
Tel : 01 57 78 34 44
   ct-contact@caceis.com

Analyst coverage.

HSBC   Pierre Bosset
CM-CIC   Alexandre Gérard
Oddo   Geoffroy Michalet

FFP - Euronext Paris.

Last quotation
Jul 7, 2020 07.07.20     17:35
66.6
Capitalization
1,660m
Change D-1
-0.45%
Change 12/31
-35.96%
Prev. close
66.9
Open
67
High
67
Low
66
Volume (shares)
7,773

CAC 40   Eurostox 600  

SYMEX ECONOMICS SA
The FFP share price which is 15 minutes delayed and refreshed every minute is provided exclusively for information and not for trading purposes. Before any transaction, please contact your broker. FFP cannot be held responsible for inaccurate, delayed or interrupted data, regarding the share price announced on its website.

Dividends.  Net / asset

Dividends.

2014
2015
2016
2017
2018
2019
Net / asset
€2
€1.6
€1.8
€2
€2.15
€2.15

Shareholding structure.

Shareholding structure.

Etablissements Peugeot Frères

80 %

Free float

20 %

regulated info

 

Regulated information

Find here all of FFP regulated information.

Latest publications.

published on

7/7/20

Half-yearly report on the liquidity contract

published on

6/26/20

FFP invests in ARBORETUM, a project for low-carbon offices and services

published on

6/2/20

Declaration of number of shares and voting rights (in French)

published on

5/5/20

Declaration of number of shares and voting rights (in French)

annual general meetings

 

Documents & previous Annual General Meetings

Join the Annual General Meeting.

19
May.
2020
2020 Annual General Meeting
from 09:30

Au siège social de FFP à huis clos
66 avenue Charles de Gaulle — 92200 Neuilly-sur-Seine

Latest publications.

19.05.2020

2020 Annual General Meeting

13 files

15.05.2019

2019 Annual General Meeting

10 files

17.05.2018

2019 Annual General Meeting

10 files

11.05.2017

2017 Annual General Meeting

9 files