SHARE INFORMATION

STOCK INFORMATION

ATARI share
Primary Listing

NYSE EURONEXT PARIS
Compartment C
ISIN Code: FR0010478248
Ticker: ATA
Eligible for PEA-PME savings plan
Included in indice CAC Mid & Small

Secondary Listing :

Atari’s Swedish Depositary Receipts (SDR) are listed on Nasdaq First North. Each SDR represents one Atari share.
ISIN Code : SE0012481232
Ticker : ATA
Company’s Certified Adviser :
Redeye AB Mäster Samuelsgatan
42 Box 7141 103 87 Stockholm Sweden
certifiedadviser@redeye.se
Tel: +46 8 121 576 90

U.S. OTC Listing :

Affiliated with Nasdaq International on the U.S. OTC market
Ticker : PONGF

Other securities listed: bonds
TickerNameISIN code
YATA2ATARI OCE 1AVR20 (OCEANE 2003-2020)FR0010032839

The 2003-2020 OCEANE Bonds are maturing in full on April 1, 2020 at a unit price of 7.539 euros.

INFORMATION RELATING TO THE TOTAL NUMBER OF SHARES
AND VOTING RIGHTS WHICH FORM THE SHARE CAPITAL

2020Number of shares
composing the capital
Number of theoretical
voting rights
Number of voting rights
As at January 31, 2020256 116 460270 344 842270 065 253

 

2019Number of shares
composing the capital
Number of theoretical
voting rights
Number of voting rights
As at December 31, 2019256 116 460270 344 842270 065 253
As at November 30, 2019256 116 460270 344 842270 065 253
As at October 31, 2019256 116 460270 344 842270 065 253
As at September 30, 2019256 109 260270 337 642270 058 053
As at August 31, 2019256 109 260270 332 428270 052 839
As at July 31, 2019256 109 260270 332 428269 802 839
As at June 30, 2019256 109 260270 332 428269 802 839
As at May 31, 2019256 109 260270 332 428269 802 839
As at April 30, 2019256 109 260270 332 428270 043 085
As at March 31, 2019256 109 260270 332 428270 112 428
As at February 28, 2019256 109 260256 212 098255 560 098
As at January 31, 2019256 109 260256 212 098255 560 098

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