RNS Number : 0354S
Vistry Group PLC
12 June 2024
 

12 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:

11/06/2024

Aggregate number of Ordinary Shares purchased:

15,800

Lowest price paid per share (GBp):

1247.00

Highest price paid per share (GBp):

1273.00

Volume weighted average price paid per share (GBp):

1258.1116

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,201,343 with 669,966 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,531,377. 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

240

1271.00

08:09:10

01074801990TRLO1

XLON

252

1271.00

08:09:10

01074801991TRLO1

XLON

186

1271.00

08:09:26

01074802147TRLO1

XLON

57

1271.00

08:09:26

01074802148TRLO1

XLON

246

1273.00

08:11:06

01074803162TRLO1

XLON

257

1269.00

08:12:42

01074804321TRLO1

XLON

240

1267.00

08:17:50

01074808010TRLO1

XLON

254

1268.00

08:26:10

01074813560TRLO1

XLON

248

1269.00

08:43:07

01074823599TRLO1

XLON

250

1269.00

08:43:07

01074823600TRLO1

XLON

238

1268.00

08:43:44

01074823985TRLO1

XLON

241

1267.00

08:46:37

01074825575TRLO1

XLON

229

1269.00

08:47:26

01074826010TRLO1

XLON

27

1269.00

08:47:26

01074826011TRLO1

XLON

240

1268.00

08:48:09

01074826511TRLO1

XLON

238

1268.00

08:52:49

01074830195TRLO1

XLON

247

1269.00

09:00:57

01074836301TRLO1

XLON

254

1269.00

09:01:00

01074836314TRLO1

XLON

245

1270.00

09:07:20

01074839410TRLO1

XLON

238

1270.00

09:07:20

01074839411TRLO1

XLON

263

1269.00

09:38:04

01074852652TRLO1

XLON

239

1265.00

10:14:20

01074868238TRLO1

XLON

241

1264.00

10:14:21

01074868283TRLO1

XLON

258

1261.00

10:29:29

01074874642TRLO1

XLON

251

1258.00

10:50:32

01074884066TRLO1

XLON

249

1257.00

10:55:26

01074886721TRLO1

XLON

243

1253.00

11:03:14

01074891324TRLO1

XLON

244

1257.00

11:29:34

01074901447TRLO1

XLON

51

1259.00

11:36:57

01074904910TRLO1

XLON

204

1259.00

11:37:03

01074904978TRLO1

XLON

253

1259.00

11:58:40

01074914417TRLO1

XLON

244

1252.00

12:15:28

01074921373TRLO1

XLON

128

1254.00

12:39:24

01074930460TRLO1

XLON

112

1254.00

12:40:53

01074931244TRLO1

XLON

146

1257.00

12:43:05

01074932217TRLO1

XLON

109

1257.00

12:43:05

01074932218TRLO1

XLON

261

1260.00

12:57:32

01074938248TRLO1

XLON

241

1257.00

13:17:17

01074946312TRLO1

XLON

262

1251.00

13:27:15

01074949707TRLO1

XLON

202

1251.00

13:33:30

01074952499TRLO1

XLON

47

1251.00

13:33:30

01074952500TRLO1

XLON

59

1251.00

13:34:49

01074952991TRLO1

XLON

198

1251.00

13:34:49

01074952992TRLO1

XLON

257

1250.00

13:48:43

01074958342TRLO1

XLON

254

1250.00

13:48:43

01074958343TRLO1

XLON

128

1251.00

14:00:56

01074963092TRLO1

XLON

123

1251.00

14:00:56

01074963093TRLO1

XLON

252

1256.00

14:12:50

01074969303TRLO1

XLON

2

1255.00

14:18:42

01074972241TRLO1

XLON

245

1255.00

14:18:48

01074972304TRLO1

XLON

247

1255.00

14:18:48

01074972305TRLO1

XLON

243

1255.00

14:26:19

01074975907TRLO1

XLON

258

1255.00

14:37:11

01074992021TRLO1

XLON

240

1255.00

14:37:11

01074992022TRLO1

XLON

33

1252.00

14:44:19

01075000040TRLO1

XLON

221

1252.00

14:45:22

01075001332TRLO1

XLON

251

1250.00

14:47:50

01075004490TRLO1

XLON

262

1252.00

14:54:52

01075012065TRLO1

XLON

94

1251.00

15:01:29

01075019463TRLO1

XLON

168

1251.00

15:01:29

01075019464TRLO1

XLON

251

1247.00

15:03:07

01075021366TRLO1

XLON

239

1251.00

15:17:35

01075035453TRLO1

XLON

246

1250.00

15:17:40

01075035501TRLO1

XLON

251

1247.00

15:25:57

01075043746TRLO1

XLON

262

1247.00

15:25:57

01075043747TRLO1

XLON

244

1250.00

15:30:19

01075048173TRLO1

XLON

261

1251.00

15:42:55

01075060699TRLO1

XLON

242

1251.00

15:42:55

01075060700TRLO1

XLON

239

1250.00

15:43:06

01075060959TRLO1

XLON

244

1248.00

15:46:38

01075064484TRLO1

XLON

247

1250.00

15:53:47

01075071225TRLO1

XLON

464

1250.00

16:10:00

01075085851TRLO1

XLON

400

1255.00

16:12:34

01075088118TRLO1

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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