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Quilter PLC

Transaction in Own Shares May 20, 2020

4999_rns_2020-05-20_65f33b71-21e5-4f90-a034-503e3e1b4079.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 5359N

Quilter PLC

20 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: 20 May 2020
Aggregate number of ordinary shares purchased: 15,235
Lowest price paid per share: 122.9500 pence
Highest price paid per share: 125.7500 pence
Average price paid per share: 123.6920 pence

The Company intends to cancel the purchased shares.

Since 11 March 2020, the Company has purchased 17,738,195 shares at a cost (including dealing and associated costs) of £19,808,432.51.

Following settlement of the above transaction, the Company will hold none of its ordinary shares in treasury and will have 1,867,387,157 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: 15,235 (ISIN: GB00BDCXV269)
Date of purchases: 20 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 15,235 123.6920 122.9500 125.7500

Individual Transactions

Transaction Date and Time Volume Price (GBp) Platform Transaction Reference Number
20-May-2020 08:16:23 1 124.2500 XLON 11502115000001088-E01lZsDG70Gp20200520
20-May-2020 08:39:20 2077 123.4000 XLON 11502115000001417-E01lZsDG8Gsm20200520
20-May-2020 08:39:20 1054 123.3000 XLON 01502015000001390-E01lZsDG8Gt020200520
20-May-2020 08:39:20 892 123.3500 XLON 11502115000001413-E01lZsDG8Gsy20200520
20-May-2020 08:39:24 722 123.1000 XLON 11502115000001419-E01lZsDG8H8520200520
20-May-2020 08:49:39 132 123.5000 XLON 01502015000001541-E01lZsDG8kl920200520
20-May-2020 08:54:58 790 123.2500 XLON 11502115000001635-E01lZsDG91ao20200520
20-May-2020 08:54:58 1002 123.2500 XLON 11502115000001635-E01lZsDG91aq20200520
20-May-2020 08:56:06 1097 122.9500 XLON 01502015000001605-E01lZsDG96GP20200520
20-May-2020 09:03:07 1295 123.2000 XLON 01502015000001726-E01lZsDG9QDD20200520
20-May-2020 09:03:07 1342 123.3000 XLON 11502115000001760-E01lZsDG9QCb20200520
20-May-2020 09:03:08 1295 123.2500 XLON 11502115000001757-E01lZsDG9QCd20200520
20-May-2020 09:05:20 687 123.1000 XLON 11502115000001778-E01lZsDG9VKj20200520
20-May-2020 11:11:45 700 125.6000 XLON 11502115000002952-E01lZsDGDUGu20200520
20-May-2020 11:14:44 84 125.6000 XLON 01502015000002931-E01lZsDGDZzc20200520
20-May-2020 11:14:44 769 125.6000 XLON 01502015000002931-E01lZsDGDZze20200520
20-May-2020 12:23:21 657 125.6500 XLON 01502015000003523-E01lZsDGFHnt20200520
20-May-2020 16:14:30 99 125.7000 XLON 01502015000005506-E01lZsDGLpiK20200520
20-May-2020 16:15:17 78 125.6000 XLON 11502115000005567-E01lZsDGLsrV20200520
20-May-2020 16:16:38 86 125.7500 XLON 11502115000005586-E01lZsDGLx7a20200520
20-May-2020 16:18:13 77 125.5500 XLON 11502115000005596-E01lZsDGM1Ze20200520
20-May-2020 16:18:13 77 125.6500 XLON 01502015000005527-E01lZsDGM1Z020200520
20-May-2020 16:20:52 72 125.7500 XLON 11502115000005637-E01lZsDGMAo520200520
20-May-2020 16:21:31 78 125.7500 XLON 01502015000005591-E01lZsDGMDU720200520
20-May-2020 16:22:53 72 125.7500 XLON 11502115000005671-E01lZsDGMHwe20200520

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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