<%@LANGUAGE="VBSCRIPT" CODEPAGE="1252"%> Compagnie du Bois Sauvage
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At 31 December 2009, the Group’s cash flow consisted of cash EUR 64 million. The few share positions still in the portfolio after the 2009 reorganisation amounted to EUR 32 million. All of the positions are intended to be realised as effectively as possible. There has been no further own account trading since the end of 2008.