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Quilter PLC

Transaction in Own Shares May 7, 2020

4999_rns_2020-05-07_a9ed9ca9-7e8d-4f2e-a786-ebc09d6a53ff.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 3342M

Quilter PLC

07 May 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: 7 May 2020
Aggregate number of ordinary shares purchased: 14,459
Lowest price paid per share: 121.7500 pence
Highest price paid per share: 123.0000 pence
Average price paid per share: 122.5602 pence

The Company intends to cancel the purchased shares.

Since 11 March 2020, the Company has purchased 15,118,605 shares at a cost (including dealing and associated costs) of £16,609,802.60.

Following settlement of the above transaction, the Company will hold none of its ordinary shares in treasury and will have 1,872,904,168 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: 14,459 (ISIN: GB00BDCXV269)
Date of purchases: 7 May 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 14,459 122.5602 121.7500 123.0000

Individual Transactions

Transaction Date and Time Volume Price (GBp) Platform Transaction Reference Number
07-May-2020 08:05:39 387 122.8500 XLON 11502115000000609-E01c9OwCId0020200507
07-May-2020 08:06:05 1666 123.0000 XLON 11502115000000614-E01c9OwCIgMU20200507
07-May-2020 08:06:05 597 123.0000 XLON 01502015000000614-E01c9OwCIgMW20200507
07-May-2020 08:06:05 88 123.0000 XLON 01502015000000614-E01c9OwCIgMY20200507
07-May-2020 08:39:27 784 122.8500 XLON 11502115000001900-E01c9OwCKij120200507
07-May-2020 08:55:04 811 123.0000 XLON 01502015000002613-E01c9OwCLKZk20200507
07-May-2020 09:06:07 387 121.8000 XLON 11502115000003172-E01c9OwCLhgl20200507
07-May-2020 09:06:07 175 121.8000 XLON 11502115000003172-E01c9OwCLhg120200507
07-May-2020 09:06:07 351 121.8000 XLON 11502115000003172-E01c9OwCLhfr20200507
07-May-2020 09:10:31 721 121.9000 XLON 01502015000003209-E01c9OwCLpH220200507
07-May-2020 09:10:31 998 122.1000 XLON 11502115000003474-E01c9OwCLpFc20200507
07-May-2020 09:10:31 185 121.9000 XLON 01502015000003209-E01c9OwCLpGz20200507
07-May-2020 09:10:31 807 122.0000 XLON 01502015000003365-E01c9OwCLpG720200507
07-May-2020 09:13:02 850 121.7500 XLON 01502015000003472-E01c9OwCLtdh20200507
07-May-2020 09:17:34 784 122.6500 XLON 11502115000003778-E01c9OwCM1vu20200507
07-May-2020 09:17:34 1543 122.7000 XLON 01502015000003721-E01c9OwCM1up20200507
07-May-2020 09:17:34 1543 122.7500 XLON 01502015000003731-E01c9OwCM1uj20200507
07-May-2020 09:33:02 999 122.8000 XLON 11502115000004334-E01c9OwCMRs420200507
07-May-2020 09:36:34 627 123.0000 XLON 01502015000004452-E01c9OwCMY7g20200507
07-May-2020 09:36:36 156 123.0000 XLON 01502015000004452-E01c9OwCMYFG20200507

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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