Rubis develops a strategic European bitumen distribution platform
Paris, 05 February 2026, 7:00am Rubis is entering the European bitumen market to further develop its distribution activities in support of key infrastructure sectors. The Group has secured an…
Detailed presentation – Transactions from 26 to 30 January 2026
Consult detailed presentation of transactions from 26 to 30 January 2026.
RUBIS: Transactions carried out within the framework of the share buyback programme (excluding transactions within the liquidity agreement) – 26 to 30 January 2026
Paris, 2 February 2026, 06:00pm Issuer Name: Rubis (LEI: 969500MGFIKUGLTC9742)Category of securities: Ordinary shares (ISIN: FR0013269123)Period: From 26 to 30 January 2026 Upon the authorisation…
Detailed presentation – Transactions from 19 to 23 January 2026
Consult detailed presentation of transactions from 19 to 23 January 2026.
RUBIS: Transactions carried out within the framework of the share buyback programme (excluding transactions within the liquidity agreement) – 19 to 23 January 2026
Paris, 26 January 2026, 06:00pm Issuer Name: Rubis (LEI: 969500MGFIKUGLTC9742)Category of securities: Ordinary shares (ISIN: FR0013269123)Period: From 19 to 23 January 2026 Upon the authorisation…
Rubis: Share Buyback Programme
Paris, 20 January 2026, 5:45pm Upon the authorisation granted by the Ordinary Shareholders’ Meeting of 12 June 2025 pursuant to its 22nd resolution and within the terms of the description published…
RUBIS: Half-year statement on Rubis’ liquidity agreement with Exane BNP Paribas
Paris, 8 January, 2026 – 5:45 pm Pursuant to the liquidity agreement that Rubis has entered into with Exane BNP Paribas, the liquidity account presented the following balances as at the settlement…
RUBIS: Information relating to the total number of voting rights and shares as of 31/12/2025
Paris, 6 January 2026, 5:45 pm INFORMATION ON TOTAL NUMBER OF VOTING RIGHTS AND NUMBER OF SHARES PURSUANT TO ARTICLE L.233-8 II OF THE FRENCH COMMERCIAL CODE AND ARTICLE 223-16 OF THE GENERAL…
Detailed presentation – Transactions from 21 to 24 November 2025
Consult detailed presentation of transactions from 21 to 24 November 2025.
RUBIS: Transactions carried out within the framework of the share buyback programme (excluding transactions within the liquidity agreement) – 24 to 28 November 2025
Paris, 1st December 2025, 06:00pm Issuer Name: Rubis (LEI: 969500MGFIKUGLTC9742)Category of securities: Ordinary shares (ISIN: FR0013269123)Period: From 24 to 28 November 2025 In accordance with…