Colonial guarantees that the Relevant Information contained in this section corresponds exactly to those sent to the CNMV, either by the company or by third parties, which also disseminated it. The above relevant events are available for consultation on the CNMV website.
Relevant Information sent to the National Securities Market Commission (CNMV) in 2025
The company announces the resumption of the liquidity contract
Colonial announces the temporary suspension of the liquidity contract in connection with the 0.30 euros per share gross dividend distribution
The company announces the end of the suspension of the liquidity contract
The Company reports the completion of the share buy-back programme
Transactions carried out by Inmobiliaria Colonial, SOCIMI, S.A. under the share buy-back program between April 14th, 2025 and June 30th, 2025.
The Company provides information on dividend payout
The Company informs on the approval of the proposed resolutions submitted to the Annual General Meeting of Shareholders
Transactions carried out by Inmobiliaria Colonial, SOCIMI, S.A. under the share buy-back program between April 14th, 2025 and June 30th, 2025.
Transactions carried out by Inmobiliaria Colonial, SOCIMI, S.A. under the share buy-back program between April 14th, 2025 and June 30th, 2025.
Colonial publishes the documentation related to the First Quarter 2025 Results presentation that will be held through a webcast
Transactions carried out by Inmobiliaria Colonial, SOCIMI, S.A. under the share buy-back program between April 14th, 2025 and June 30th, 2025.
Colonial announces that, on May 8th 2025, a video webcast with audio conference will be held to present the Results of the First Quarter of 2025. The results will be released on the same day after stock market closing.
Transactions carried out by Inmobiliaria Colonial, SOCIMI, S.A. under the share buy-back program between April 14th, 2025 and June 30th, 2025.
Announcement of Annual General Meeting
Transactions carried out by Inmobiliaria Colonial, SOCIMI, S.A. under the share buy-back program between April 14th, 2025 and June 30th, 2025.
Colonial announces that today on the 22nd of April 2025 at 18:30 h (CET), a conference call for analysts and institutional investors will be held.
Colonial publishes the documentation to support the presentation to analysts and investors that will be held today, Tuesday, 22nd of April 2025 at 6:30 PM (CET) through a webcast.
The Company informs about the starting of a buy-back programme for the acquisition of treasury shares
Confirmation that Colonial is not required to file a delisting offer in respect of SFL shares
Approval of the terms of the merger between Colonial and Société Foncière Lyonnaise
Colonial announces the temporary suspension of the liquidity contract with the aim of acquiring treasury shares,representing approximately 0.351% of the share capital
Colonial announces that a video webcast with audio conference, for analysts and institutional investors will be held to present the Results of 2024, on February 27th. The results will be released on the same day after stock market closing
The Company hereby discloses the detail of the transactions carried out by the financial intermediary under the liquidity contract during the period between Octobre 2nd, 2024 and january 1st, 2025 (both inclusive)
Colonial has successfully completed the pricing of a senior unsecured note issuance for a principal amount of EUR 500,000,000 at a rate of 3.250% per annum and due January 2030