RNS Number : 5867S
Vistry Group PLC
17 June 2024
 

17 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:

14/06/2024

Aggregate number of Ordinary Shares purchased:

16,300

Lowest price paid per share (GBp):

1208.00

Highest price paid per share (GBp):

1245.00

Volume weighted average price paid per share (GBp):

1219.2772

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,155,776 with 656,188 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,499,588. 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

160

1245.00

08:01:16

01076024347TRLO1

XLON

67

1245.00

08:01:59

01076024662TRLO1

XLON

235

1241.00

08:09:38

01076027209TRLO1

XLON

233

1236.00

08:24:20

01076034389TRLO1

XLON

235

1238.00

08:40:20

01076040982TRLO1

XLON

224

1231.00

08:49:25

01076043334TRLO1

XLON

234

1227.00

09:02:23

01076046946TRLO1

XLON

242

1232.00

09:19:56

01076052471TRLO1

XLON

242

1230.00

09:34:54

01076057114TRLO1

XLON

4

1231.00

09:48:41

01076060300TRLO1

XLON

219

1231.00

09:48:41

01076060301TRLO1

XLON

230

1231.00

10:02:47

01076063249TRLO1

XLON

238

1228.00

10:17:34

01076066902TRLO1

XLON

237

1225.00

10:33:06

01076071295TRLO1

XLON

167

1220.00

10:46:57

01076074713TRLO1

XLON

77

1220.00

10:46:57

01076074714TRLO1

XLON

232

1223.00

10:57:28

01076077254TRLO1

XLON

177

1218.00

11:02:48

01076078512TRLO1

XLON

65

1218.00

11:02:48

01076078513TRLO1

XLON

5

1218.00

11:11:17

01076081436TRLO1

XLON

163

1220.00

11:11:18

01076081438TRLO1

XLON

63

1220.00

11:11:18

01076081439TRLO1

XLON

238

1210.00

11:23:32

01076084262TRLO1

XLON

229

1216.00

11:42:31

01076088391TRLO1

XLON

234

1214.00

11:57:56

01076092647TRLO1

XLON

234

1216.00

12:19:46

01076101652TRLO1

XLON

224

1220.00

12:39:52

01076108738TRLO1

XLON

239

1220.00

12:45:11

01076109931TRLO1

XLON

239

1217.00

12:56:47

01076112677TRLO1

XLON

235

1216.00

13:05:20

01076115431TRLO1

XLON

239

1221.00

13:22:13

01076119325TRLO1

XLON

246

1224.00

13:26:21

01076120267TRLO1

XLON

243

1221.00

13:33:01

01076121847TRLO1

XLON

235

1219.00

13:33:54

01076121994TRLO1

XLON

242

1223.00

13:49:35

01076125279TRLO1

XLON

228

1223.00

13:49:35

01076125280TRLO1

XLON

24

1222.00

13:51:15

01076125758TRLO1

XLON

2

1222.00

13:51:15

01076125759TRLO1

XLON

23

1223.00

13:52:55

01076126114TRLO1

XLON

176

1223.00

13:52:55

01076126115TRLO1

XLON

242

1218.00

14:03:40

01076128580TRLO1

XLON

14

1218.00

14:03:40

01076128581TRLO1

XLON

220

1218.00

14:03:40

01076128582TRLO1

XLON

245

1219.00

14:24:46

01076134040TRLO1

XLON

182

1218.00

14:26:44

01076134544TRLO1

XLON

53

1218.00

14:26:44

01076134545TRLO1

XLON

241

1221.00

14:35:11

01076143824TRLO1

XLON

230

1222.00

14:38:04

01076146664TRLO1

XLON

239

1224.00

14:40:04

01076148384TRLO1

XLON

15

1223.00

14:45:32

01076154732TRLO1

XLON

225

1223.00

14:45:33

01076154739TRLO1

XLON

15

1220.00

14:51:15

01076161274TRLO1

XLON

230

1220.00

14:51:31

01076161608TRLO1

XLON

225

1220.00

14:55:04

01076166690TRLO1

XLON

241

1220.00

15:00:27

01076172825TRLO1

XLON

197

1218.00

15:03:52

01076177090TRLO1

XLON

31

1218.00

15:03:52

01076177091TRLO1

XLON

232

1216.00

15:10:24

01076183897TRLO1

XLON

149

1216.00

15:12:55

01076186465TRLO1

XLON

95

1216.00

15:12:55

01076186466TRLO1

XLON

233

1212.00

15:22:23

01076196665TRLO1

XLON

241

1212.00

15:22:23

01076196666TRLO1

XLON

228

1208.00

15:26:06

01076200242TRLO1

XLON

40

1209.00

15:28:45

01076202600TRLO1

XLON

188

1209.00

15:28:45

01076202601TRLO1

XLON

227

1209.00

15:33:36

01076207072TRLO1

XLON

235

1209.00

15:37:54

01076211075TRLO1

XLON

160

1209.00

15:42:41

01076215835TRLO1

XLON

74

1209.00

15:42:41

01076215836TRLO1

XLON

240

1210.00

15:46:03

01076219061TRLO1

XLON

1000

1215.00

16:04:24

01076236656TRLO1

XLON

1000

1214.00

16:06:38

01076238631TRLO1

XLON

534

1214.00

16:06:38

01076238632TRLO1

XLON

1000

1213.00

16:07:07

01076239050TRLO1

XLON

151

1213.00

16:07:07

01076239051TRLO1

XLON

149

1213.00

16:07:07

01076239052TRLO1

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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