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Quilter PLC

Transaction in Own Shares Mar 30, 2020

4999_rns_2020-03-30_28799942-5003-4095-93a7-4c86cd374c08.html

Transaction in Own Shares

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RNS Number : 1146I

Quilter PLC

30 March 2020

Transactions in own shares

Quilter plc (the Company) announces today it has purchased the following number of its ordinary shares of 7 pence each through J.P. Morgan Securities plc.

Date of purchase: 30 March 2020
Aggregate number of ordinary shares purchased: 50,971
Lowest price paid per share: 104.8000 pence
Highest price paid per share: 107.9000 pence
Average price paid per share: 105.9601 pence

The Company intends to cancel the purchased shares.

Since 11 March 2020, the Company has purchased 14,900,856 shares at a cost (including dealing and associated costs) of £16,343,757.64.

Following settlement of the above transaction, the Company will hold none of its ordinary shares in treasury and will have 1,876,838,395 ordinary shares in issue.

The table below contains detailed information about the purchases made as part of the buyback programme.

Schedule of Purchases

Shares purchased: 50,971 (ISIN: GB00BDCXV269)
Date of purchases: 30 March 2020
Investment firm: J.P. Morgan Securities plc

Aggregate information:

Venue Aggregated volume Volume-weighted average price Lowest price per share Highest price per share
London Stock Exchange 50,971 105.9601 104.8000 107.9000

Individual Transactions

Transaction Date and Time Volume Price (GBp) Platform Transaction Reference Number
30-Mar-2020 08:51:53 1 107.9000 XLON 11002110000016959-E01Aa0WRbPL520200330
30-Mar-2020 08:58:41 1280 106.9000 XLON 11002110000018861-E01Aa0WRbvcU20200330
30-Mar-2020 08:58:42 880 106.7500 XLON 01002010000018892-E01Aa0WRbvia20200330
30-Mar-2020 09:04:51 980 107.2000 XLON 01002010000022641-E01Aa0WRcPxE20200330
30-Mar-2020 09:07:29 1313 106.8500 XLON 01002010000023926-E01Aa0WRcb3d20200330
30-Mar-2020 09:07:31 1773 106.8000 XLON 11002110000024105-E01Aa0WRcb9Z20200330
30-Mar-2020 09:09:20 834 106.9000 XLON 11002110000024787-E01Aa0WRcj7d20200330
30-Mar-2020 09:09:21 625 106.9000 XLON 11002110000024787-E01Aa0WRcjCe20200330
30-Mar-2020 09:09:21 193 106.9000 XLON 11002110000024787-E01Aa0WRcjCn20200330
30-Mar-2020 09:09:38 783 106.9000 XLON 11002110000024941-E01Aa0WRcks720200330
30-Mar-2020 09:10:04 137 106.7000 XLON 11002110000024700-E01Aa0WRcmJd20200330
30-Mar-2020 09:10:04 2281 106.7000 XLON 11002110000024700-E01Aa0WRcmJf20200330
30-Mar-2020 09:10:04 865 106.7500 XLON 01002010000024925-E01Aa0WRcmJR20200330
30-Mar-2020 09:10:04 234 106.7500 XLON 01002010000024925-E01Aa0WRcmJT20200330
30-Mar-2020 09:10:12 184 106.4500 XLON 01002010000025084-E01Aa0WRcmgG20200330
30-Mar-2020 09:10:38 882 106.2000 XLON 11002110000025310-E01Aa0WRcoA720200330
30-Mar-2020 09:10:38 1187 106.4500 XLON 01002010000025084-E01Aa0WRco9920200330
30-Mar-2020 09:13:20 1103 105.9500 XLON 01002010000026188-E01Aa0WRczcY20200330
30-Mar-2020 09:13:33 264 105.9000 XLON 01002010000025778-E01Aa0WRd0Iq20200330
30-Mar-2020 09:13:33 537 105.9000 XLON 01002010000025778-E01Aa0WRd0Is20200330
30-Mar-2020 09:17:05 572 105.5000 XLON 11002110000027294-E01Aa0WRd9Vl20200330
30-Mar-2020 09:17:33 439 105.5000 XLON 11002110000027294-E01Aa0WRdBDq20200330
30-Mar-2020 09:17:33 1588 105.5000 XLON 11002110000027294-E01Aa0WRdBDm20200330
30-Mar-2020 09:17:39 2712 105.5000 XLON 01002010000027817-E01Aa0WRdBoK20200330
30-Mar-2020 09:18:20 824 105.3500 XLON 01002010000027304-E01Aa0WRdF3420200330
30-Mar-2020 09:18:20 2642 105.3500 XLON 01002010000027304-E01Aa0WRdF3620200330
30-Mar-2020 09:18:28 1031 105.2000 XLON 01002010000027902-E01Aa0WRdFNp20200330
30-Mar-2020 09:18:30 15 105.2000 XLON 01002010000027902-E01Aa0WRdFRl20200330
30-Mar-2020 09:18:30 648 105.2000 XLON 01002010000027902-E01Aa0WRdFRj20200330
30-Mar-2020 09:18:55 744 104.9000 XLON 01002010000028208-E01Aa0WRdHcP20200330
30-Mar-2020 09:19:31 220 104.8500 XLON 11002110000028564-E01Aa0WRdK8X20200330
30-Mar-2020 09:19:52 1559 105.3000 XLON 01002010000028734-E01Aa0WRdLU820200330
30-Mar-2020 09:20:51 1010 105.3500 XLON 11002110000028738-E01Aa0WRdPqA20200330
30-Mar-2020 09:20:51 1102 105.4000 XLON 11002110000028792-E01Aa0WRdPpo20200330
30-Mar-2020 09:22:15 880 105.3000 XLON 01002010000029529-E01Aa0WRdVQd20200330
30-Mar-2020 09:22:47 1500 105.0500 XLON 11002110000029816-E01Aa0WRdXQk20200330
30-Mar-2020 09:23:08 841 105.0500 XLON 11002110000029816-E01Aa0WRdZ4l20200330
30-Mar-2020 09:23:08 232 105.0000 XLON 11002110000029628-E01Aa0WRdZ5Q20200330
30-Mar-2020 09:23:08 626 105.0000 XLON 11002110000029628-E01Aa0WRdZ5M20200330
30-Mar-2020 09:23:08 1112 105.0000 XLON 11002110000029742-E01Aa0WRdZ5S20200330
30-Mar-2020 09:23:40 1713 104.8000 XLON 01002010000029758-E01Aa0WRdcMg20200330
30-Mar-2020 09:26:53 1195 105.0500 XLON 11002110000031084-E01Aa0WRdlgj20200330
30-Mar-2020 09:26:53 1195 104.8500 XLON 01002010000031099-E01Aa0WRdli320200330
30-Mar-2020 09:31:00 808 106.1000 XLON 11002110000032864-E01Aa0WRe0Mp20200330
30-Mar-2020 09:31:00 808 106.1000 XLON 01002010000032893-E01Aa0WRe0N620200330
30-Mar-2020 09:31:01 152 106.1000 XLON 11002110000032872-E01Aa0WRe0PE20200330
30-Mar-2020 09:31:01 1541 106.1000 XLON 11002110000032872-E01Aa0WRe0PC20200330
30-Mar-2020 09:31:02 1854 106.1000 XLON 11002110000032879-E01Aa0WRe0Sw20200330
30-Mar-2020 09:31:46 1402 106.6500 XLON 11002110000033152-E01Aa0WRe3te20200330
30-Mar-2020 09:32:26 2005 107.0500 XLON 01002010000033453-E01Aa0WRe6Mn20200330
30-Mar-2020 09:33:29 1665 107.6000 XLON 01002010000033792-E01Aa0WRe9QM20200330

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.

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