MONTHLY CASH BURN HALVED IN H2 STRENGTHENING OF THE LIQUIDITY POSITION AT €4.2BN SWIFT ROLLOUT OF €200M RECURRING COST SAVINGS PLAN  *** REVENUE DOWN 60% TO €1,621 MILLION (-55% LFL) EBITDA: €(391) MILLION RECURRING FREE CASH FLOW: €(727) MILLION NET LOSS, GROUP SHARE: €(1,988) MILLION