RNS Number : 2324U
Vistry Group PLC
28 June 2024
 

28 June 2024

Vistry Group PLC

Transaction in own shares

Vistry Group PLC (the "Company"), announces that, in accordance with the terms of its share buyback programme announced on 18 April 2024 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through HSBC Bank plc ("HSBC").

Date of purchase:

27/06/2024

Aggregate number of Ordinary Shares purchased:

16,840

Lowest price paid per share (GBp):

1181.00

Highest price paid per share (GBp):

1191.00

Volume weighted average price paid per share (GBp):

1187.3433

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,006,661 with 650,959 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,355,702. This figure for the total number of voting rights may be used by shareholders (and others with notification obligations) as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.    

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by HSBC as part of the Share Buyback Programme.

Individual transactions:

Number of ordinary shares purchased

Transaction price (GBp share)

Time of transaction (UK Time)

Transaction reference number

Trading venue

200

1191.00

08:00:49

01079204153TRLO1

XLON

200

1187.00

08:13:34

01079209529TRLO1

XLON

204

1187.00

08:16:06

01079210518TRLO1

XLON

198

1181.00

08:26:20

01079214037TRLO1

XLON

201

1183.00

08:34:40

01079216596TRLO1

XLON

207

1186.00

08:50:51

01079220279TRLO1

XLON

192

1186.00

08:50:51

01079220280TRLO1

XLON

13

1187.00

08:53:11

01079220736TRLO1

XLON

177

1187.00

08:53:11

01079220737TRLO1

XLON

202

1186.00

08:53:14

01079220744TRLO1

XLON

201

1182.00

09:07:52

01079224454TRLO1

XLON

195

1184.00

09:16:19

01079226389TRLO1

XLON

207

1185.00

09:24:45

01079228582TRLO1

XLON

203

1184.00

09:29:46

01079229988TRLO1

XLON

207

1183.00

09:34:33

01079231051TRLO1

XLON

208

1182.00

09:35:49

01079231341TRLO1

XLON

184

1182.00

09:50:00

01079234965TRLO1

XLON

19

1182.00

09:50:00

01079234966TRLO1

XLON

204

1182.00

09:50:00

01079234967TRLO1

XLON

199

1185.00

10:05:15

01079239390TRLO1

XLON

204

1185.00

10:12:35

01079241254TRLO1

XLON

189

1188.00

10:18:21

01079242725TRLO1

XLON

189

1190.00

10:24:12

01079244313TRLO1

XLON

191

1190.00

10:28:50

01079245191TRLO1

XLON

189

1187.00

10:39:55

01079248668TRLO1

XLON

192

1186.00

10:43:26

01079249606TRLO1

XLON

200

1188.00

10:59:20

01079253249TRLO1

XLON

87

1188.00

10:59:20

01079253250TRLO1

XLON

199

1189.00

11:03:34

01079254229TRLO1

XLON

200

1191.00

11:07:21

01079255365TRLO1

XLON

204

1191.00

11:07:21

01079255366TRLO1

XLON

204

1190.00

11:08:34

01079255676TRLO1

XLON

202

1186.00

11:18:23

01079258284TRLO1

XLON

196

1186.00

11:26:16

01079259882TRLO1

XLON

189

1187.00

11:34:49

01079261755TRLO1

XLON

204

1186.00

11:43:14

01079263290TRLO1

XLON

191

1186.00

11:51:23

01079265079TRLO1

XLON

204

1185.00

12:01:26

01079267538TRLO1

XLON

190

1185.00

12:12:25

01079270017TRLO1

XLON

204

1186.00

12:33:00

01079275871TRLO1

XLON

189

1185.00

12:34:37

01079276246TRLO1

XLON

207

1185.00

12:34:37

01079276247TRLO1

XLON

206

1186.00

12:41:04

01079278406TRLO1

XLON

205

1188.00

12:44:29

01079279533TRLO1

XLON

192

1184.00

12:51:04

01079281476TRLO1

XLON

201

1185.00

13:00:56

01079284453TRLO1

XLON

198

1186.00

13:07:00

01079286229TRLO1

XLON

193

1186.00

13:19:39

01079291123TRLO1

XLON

192

1187.00

13:26:30

01079293263TRLO1

XLON

190

1187.00

13:26:30

01079293264TRLO1

XLON

197

1190.00

13:35:44

01079296637TRLO1

XLON

191

1190.00

13:35:44

01079296638TRLO1

XLON

125

1190.00

13:35:44

01079296639TRLO1

XLON

67

1190.00

13:35:44

01079296640TRLO1

XLON

203

1190.00

13:38:13

01079297594TRLO1

XLON

198

1189.00

13:40:41

01079298414TRLO1

XLON

196

1189.00

13:41:35

01079298706TRLO1

XLON

205

1189.00

13:52:30

01079301879TRLO1

XLON

206

1190.00

14:04:30

01079306806TRLO1

XLON

202

1190.00

14:04:30

01079306807TRLO1

XLON

120

1190.00

14:11:00

01079309409TRLO1

XLON

77

1190.00

14:11:00

01079309410TRLO1

XLON

201

1189.00

14:12:01

01079309797TRLO1

XLON

196

1189.00

14:12:01

01079309798TRLO1

XLON

196

1188.00

14:23:24

01079313487TRLO1

XLON

194

1188.00

14:31:05

01079320051TRLO1

XLON

192

1188.00

14:31:05

01079320052TRLO1

XLON

203

1190.00

14:38:21

01079327776TRLO1

XLON

206

1190.00

14:38:21

01079327777TRLO1

XLON

199

1190.00

14:39:41

01079329339TRLO1

XLON

202

1190.00

14:39:41

01079329340TRLO1

XLON

203

1190.00

14:41:11

01079330915TRLO1

XLON

197

1190.00

14:45:49

01079334759TRLO1

XLON

193

1189.00

14:51:50

01079340493TRLO1

XLON

198

1189.00

14:51:50

01079340503TRLO1

XLON

194

1187.00

14:55:26

01079343484TRLO1

XLON

197

1186.00

14:59:35

01079346390TRLO1

XLON

189

1190.00

15:06:18

01079352590TRLO1

XLON

194

1190.00

15:09:27

01079355257TRLO1

XLON

199

1190.00

15:09:33

01079355319TRLO1

XLON

190

1190.00

15:09:33

01079355321TRLO1

XLON

197

1190.00

15:15:30

01079360488TRLO1

XLON

190

1190.00

15:17:30

01079362034TRLO1

XLON

188

1190.00

15:18:27

01079362881TRLO1

XLON

191

1189.00

15:25:07

01079367813TRLO1

XLON

193

1189.00

15:25:07

01079367814TRLO1

XLON

203

1190.00

15:26:21

01079368786TRLO1

XLON

516

1184.00

15:49:21

01079386836TRLO1

XLON

10

1184.00

15:50:12

01079387668TRLO1

XLON


This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

Vistry Group PLC

Clare Bates, General Counsel & Group Company Secretary

 

 

01675 437160

 

 

 

 

 

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