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CAPRICORN ENERGY PLC

Transaction in Own Shares Jun 20, 2022

4699_rns_2022-06-20_e09755e9-b7c4-42db-bde3-6cffa136a2c0.pdf

Transaction in Own Shares

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FOR IMMEDIATE RELEASE 20 June 2022

CAPRICORN ENERGY PLC ("Capricorn" or "the Company")

TRANSACTIONS IN OWN SHARES

Capricorn Energy PLC (the "Company") announces that, on 17 June 2022, it purchased the following number of its ordinary shares of 21/13 pence each (the "Ordinary Shares") on the London Stock Exchange through J.P. Morgan Securities plc. Such purchase was effected pursuant to the instructions issued by the Company in accordance with the non-discretionary share repurchase arrangements entered into with J.P. Morgan Securities plc, as announced on 7 April 2022.

Ordinary Shares:

Date of purchase: 17 June 2022
Aggregate number of Ordinary Shares purchased: 51,291
Lowest price paid per share: 214.20 pence
Highest price paid per share: 222.00 pence
Average price paid per share: 216.88 pence

Since 10 June 2022, the Company has purchased and not yet cancelled (and therefore, for the purposes of the City Code on Takeovers and Mergers, has an interest in) 163,923 Ordinary Shares. The Company intends to cancel the purchased Ordinary Shares.

Since 7 April 2022, the Company has purchased 9,197,847 shares at a cost (including dealing and associated costs) of £18,374,788.56.

A full breakdown of the individual trades made by J.P. Morgan Securities plc on behalf of the Company as part of the share repurchase programme is set out below.

This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

Enquiries Analysts/Investors David Nisbet, Corporate Affairs Tel: 0131 475 3000

Media Linda Bain/Jonathan Milne, Corporate Affairs Tel: 0131 475 3000

Broker Transaction Date and Time Volume Price (GBp) Platform Transaction Reference Number
J.P. Morgan Securities plc 17-Jun-2022 08:01:25 449 217.4000 XLON 07002070000002630-E0AdF5rHeHTX20220617
J.P. Morgan Securities plc 17-Jun-2022 10:15:31 526 222.0000 XLON 07002070000072638-E0AdF5rHila920220617
J.P. Morgan Securities plc 17-Jun-2022 10:33:25 585 219.6000 XLON 07002070000081167-E0AdF5rHjHG520220617
J.P. Morgan Securities plc 17-Jun-2022 10:34:06 9 219.6000 XLON 05002050000082992-E0AdF5rHjI0t20220617
J.P. Morgan Securities plc 17-Jun-2022 10:34:36 8 219.6000 XLON 05002050000082992-E0AdF5rHjIZI20220617
J.P. Morgan Securities plc 17-Jun-2022 10:34:51 4 219.6000 XLON 05002050000082992-E0AdF5rHjIxa20220617
J.P. Morgan Securities plc 17-Jun-2022 10:35:06 2 219.6000 XLON 05002050000082992-E0AdF5rHjJIn20220617
J.P. Morgan Securities plc 17-Jun-2022 10:37:03 11 220.4000 XLON 05002050000084795-E0AdF5rHjMVx20220617
J.P. Morgan Securities plc 17-Jun-2022 10:43:02 414 220.2000 XLON 07002070000084702-E0AdF5rHjWDY20220617
J.P. Morgan Securities plc 17-Jun-2022 10:43:02 96 220.2000 XLON 07002070000084702-E0AdF5rHjWDa20220617
J.P. Morgan Securities plc 17-Jun-2022 10:48:03 11 219.8000 XLON 07002070000089740-E0AdF5rHjcwT20220617
J.P. Morgan Securities plc 17-Jun-2022 10:54:21 457 220.6000 XLON 07002070000094065-E0AdF5rHk8LO20220617
J.P. Morgan Securities plc 17-Jun-2022 10:55:23 1 220.2000 XLON 07002070000094542-E0AdF5rHkDr920220617
J.P. Morgan Securities plc 17-Jun-2022 10:58:58 584 220.4000 XLON 07002070000097403-E0AdF5rHkWuM20220617
J.P. Morgan Securities plc 17-Jun-2022 11:20:36 485 220.0000 XLON 05002050000106582-E0AdF5rHl6lw20220617
J.P. Morgan Securities plc 17-Jun-2022 11:36:36 5 219.2000 XLON 07002070000107498-E0AdF5rHlLVp20220617
J.P. Morgan Securities plc 17-Jun-2022 12:00:40 534 219.2000 XLON 07002070000107498-E0AdF5rHlk7P20220617
J.P. Morgan Securities plc 17-Jun-2022 12:22:43 584 218.0000 XLON 05002050000129146-E0AdF5rHmAXI20220617
J.P. Morgan Securities plc 17-Jun-2022 12:23:30 494 217.4000 XLON 05002050000129142-E0AdF5rHmBtR20220617
J.P. Morgan Securities plc 17-Jun-2022 12:25:36 1263 218.2000 XLON 05002050000137026-E0AdF5rHmE6t20220617
J.P. Morgan Securities plc 17-Jun-2022 12:31:36 842 218.0000 XLON 05002050000136992-E0AdF5rHmLWy20220617
J.P. Morgan Securities plc 17-Jun-2022 12:38:06 666 219.0000 XLON 05002050000141235-E0AdF5rHmTtc20220617
J.P. Morgan Securities plc 17-Jun-2022 12:42:44 658 218.6000 XLON 07002070000141507-E0AdF5rHmXqR20220617
J.P. Morgan Securities plc 17-Jun-2022 12:59:36 13 218.2000 XLON 07002070000143207-E0AdF5rHmoLJ20220617
J.P. Morgan Securities plc 17-Jun-2022 12:59:51 4 218.2000 XLON 07002070000143207-E0AdF5rHmogK20220617
J.P. Morgan Securities plc 17-Jun-2022 13:00:06 2 218.2000 XLON 07002070000143207-E0AdF5rHmp4h20220617
J.P. Morgan Securities plc 17-Jun-2022 13:00:54 243 218.2000 XLON 07002070000143207-E0AdF5rHmq1x20220617
J.P. Morgan Securities plc 17-Jun-2022 13:01:06 29 218.2000 XLON 07002070000143207-E0AdF5rHmq6020220617
J.P. Morgan Securities plc 17-Jun-2022 13:01:21 5 218.2000 XLON 07002070000143207-E0AdF5rHmqLt20220617
J.P. Morgan Securities plc 17-Jun-2022 13:02:21 17 218.2000 XLON 07002070000143207-E0AdF5rHmrX720220617
J.P. Morgan Securities plc 17-Jun-2022 13:02:36 305 218.2000 XLON 07002070000143207-E0AdF5rHmrtm20220617
J.P. Morgan Securities plc 17-Jun-2022 13:02:36 25 218.2000 XLON 07002070000143207-E0AdF5rHmrtk20220617
J.P. Morgan Securities plc 17-Jun-2022 13:23:51 10 218.6000 XLON 05002050000160331-E0AdF5rHnCIX20220617
J.P. Morgan Securities plc 17-Jun-2022 13:24:06 6 218.6000 XLON 05002050000160331-E0AdF5rHnCP220220617
J.P. Morgan Securities plc 17-Jun-2022 13:24:21 3 218.6000 XLON 05002050000160331-E0AdF5rHnCeZ20220617
J.P. Morgan Securities plc 17-Jun-2022 13:24:36 3 218.6000 XLON 05002050000160331-E0AdF5rHnCq120220617
J.P. Morgan Securities plc 17-Jun-2022 13:24:40 601 218.6000 XLON 05002050000160331-E0AdF5rHnCsJ20220617
J.P. Morgan Securities plc 17-Jun-2022 13:24:41 578 218.4000 XLON 05002050000156294-E0AdF5rHnCsh20220617
J.P. Morgan Securities plc 17-Jun-2022 13:24:51 664 218.2000 XLON 07002070000159971-E0AdF5rHnD3l20220617
J.P. Morgan Securities plc 17-Jun-2022 13:29:33 494 217.8000 XLON 05002050000161326-E0AdF5rHnGYk20220617
J.P. Morgan Securities plc 17-Jun-2022 13:43:51 606 217.6000 XLON 05002050000162898-E0AdF5rHnXYd20220617
J.P. Morgan Securities plc 17-Jun-2022 13:48:01 539 216.6000 XLON 07002070000168506-E0AdF5rHncXp20220617
J.P. Morgan Securities plc 17-Jun-2022 14:02:00 310 216.8000 XLON 07002070000174095-E0AdF5rHntn020220617
J.P. Morgan Securities plc 17-Jun-2022 14:02:00 157 216.8000 XLON 07002070000174095-E0AdF5rHntmy20220617
J.P. Morgan Securities plc 17-Jun-2022 14:02:00 636 217.0000 XLON 05002050000174145-E0AdF5rHntlp20220617
J.P. Morgan Securities plc 17-Jun-2022 14:02:36 240 216.6000 XLON 07002070000174805-E0AdF5rHnuVe20220617
J.P. Morgan Securities plc 17-Jun-2022 14:02:51 52 216.6000 XLON 07002070000174805-E0AdF5rHnud720220617
J.P. Morgan Securities plc 17-Jun-2022 14:03:06 16 216.6000 XLON 07002070000174805-E0AdF5rHnupv20220617
J.P. Morgan Securities plc 17-Jun-2022 14:03:21 17 216.6000 XLON 07002070000174805-E0AdF5rHnv3620220617
J.P. Morgan Securities plc 17-Jun-2022 14:03:36 16 216.6000 XLON 07002070000174805-E0AdF5rHnvVe20220617
J.P. Morgan Securities plc 17-Jun-2022 14:03:51 17 216.6000 XLON 07002070000174805-E0AdF5rHnvn120220617
J.P. Morgan Securities plc 17-Jun-2022 14:04:06 16 216.6000 XLON 07002070000174805-E0AdF5rHnvyy20220617
J.P. Morgan Securities plc 17-Jun-2022 14:08:20 300 216.6000 XLON 07002070000174805-E0AdF5rHo1tr20220617
J.P. Morgan Securities plc 17-Jun-2022 14:11:41 528 217.2000 XLON 07002070000178544-E0AdF5rHo70q20220617
J.P. Morgan Securities plc 17-Jun-2022 14:15:51 105 217.0000 XLON 07002070000177984-E0AdF5rHoCB420220617
J.P. Morgan Securities plc 17-Jun-2022 14:16:06 28 217.0000 XLON 07002070000177984-E0AdF5rHoCNf20220617
J.P. Morgan Securities plc 17-Jun-2022 14:16:21 17 217.0000 XLON 07002070000177984-E0AdF5rHoCuW20220617
J.P. Morgan Securities plc 17-Jun-2022 14:16:36 14 217.0000 XLON 07002070000177984-E0AdF5rHoD3d20220617
J.P. Morgan Securities plc 17-Jun-2022 14:16:37 285 217.0000 XLON 07002070000177984-E0AdF5rHoD4t20220617
J.P. Morgan Securities plc 17-Jun-2022 14:25:51 8 218.0000 XLON 07002070000184285-E0AdF5rHoS4H20220617
J.P. Morgan Securities plc 17-Jun-2022 14:26:53 838 218.2000 XLON 07002070000186215-E0AdF5rHoTiy20220617
J.P. Morgan Securities plc 17-Jun-2022 14:27:06 531 218.0000 XLON 07002070000184285-E0AdF5rHoTwv20220617
J.P. Morgan Securities plc 17-Jun-2022 14:33:36 499 218.0000 XLON 05002050000189974-E0AdF5rHonEf20220617
J.P. Morgan Securities plc 17-Jun-2022 14:38:36 372 217.6000 XLON 07002070000192816-E0AdF5rHp4mM20220617
J.P. Morgan Securities plc 17-Jun-2022 14:38:36 130 217.6000 XLON 07002070000192816-E0AdF5rHp4mQ20220617
J.P. Morgan Securities plc 17-Jun-2022 14:40:12 494 217.0000 XLON 05002050000197086-E0AdF5rHpA3G20220617
J.P. Morgan Securities plc 17-Jun-2022 14:40:36 695 217.0000 XLON 07002070000198886-E0AdF5rHpBm120220617
J.P. Morgan Securities plc 17-Jun-2022 14:42:22 591 217.4000 XLON 07002070000200395-E0AdF5rHpHIj20220617
J.P. Morgan Securities plc 17-Jun-2022 14:44:21 14 217.2000 XLON 07002070000201484-E0AdF5rHpMLK20220617
J.P. Morgan Securities plc 17-Jun-2022 14:44:36 6 217.2000 XLON 07002070000201484-E0AdF5rHpMkx20220617
J.P. Morgan Securities plc 17-Jun-2022 14:44:51 4 217.2000 XLON 07002070000201484-E0AdF5rHpNN120220617
J.P. Morgan Securities plc 17-Jun-2022 14:45:06 3 217.2000 XLON 07002070000201484-E0AdF5rHpO5I20220617
J.P. Morgan Securities plc 17-Jun-2022 14:47:21 444 217.2000 XLON 07002070000201484-E0AdF5rHpU2c20220617
J.P. Morgan Securities plc 17-Jun-2022 14:59:36 14 217.6000 XLON 05002050000207202-E0AdF5rHpxyJ20220617
J.P. Morgan Securities plc 17-Jun-2022 14:59:36 473 217.6000 XLON 05002050000207202-E0AdF5rHpxyP20220617
J.P. Morgan Securities plc 17-Jun-2022 15:01:51 606 216.6000 XLON 07002070000216237-E0AdF5rHq1us20220617
J.P. Morgan Securities plc 17-Jun-2022 15:01:51 494 216.8000 XLON 07002070000210899-E0AdF5rHq1uQ20220617
J.P. Morgan Securities plc 17-Jun-2022 15:03:25 539 216.4000 XLON 05002050000217301-E0AdF5rHq6TU20220617
J.P. Morgan Securities plc 17-Jun-2022 15:05:12 146 216.2000 XLON 07002070000218890-E0AdF5rHqAhN20220617
J.P. Morgan Securities plc 17-Jun-2022 15:05:12 304 216.2000 XLON 07002070000218890-E0AdF5rHqAhP20220617
J.P. Morgan Securities plc 17-Jun-2022 15:13:54 449 214.8000 XLON 07002070000223602-E0AdF5rHqSFM20220617
J.P. Morgan Securities plc 17-Jun-2022 15:16:26 475 214.6000 XLON 07002070000226814-E0AdF5rHqY6D20220617
J.P. Morgan Securities plc 17-Jun-2022 15:20:13 674 214.2000 XLON 07002070000229886-E0AdF5rHqgku20220617
J.P. Morgan Securities plc 17-Jun-2022 15:28:50 449 214.4000 XLON 07002070000237689-E0AdF5rHr12820220617
J.P. Morgan Securities plc 17-Jun-2022 15:31:36 485 216.0000 XLON 05002050000239799-E0AdF5rHr8FF20220617
J.P. Morgan Securities plc 17-Jun-2022 15:32:06 462 216.0000 XLON 05002050000239926-E0AdF5rHr9dw20220617
J.P. Morgan Securities plc 17-Jun-2022 15:32:06 167 216.0000 XLON 05002050000239926-E0AdF5rHr9ds20220617
J.P. Morgan Securities plc 17-Jun-2022 15:32:21 110 215.8000 XLON 07002070000240572-E0AdF5rHrAQK20220617
J.P. Morgan Securities plc 17-Jun-2022 15:32:21 339 215.8000 XLON 07002070000240572-E0AdF5rHrAQM20220617
J.P. Morgan Securities plc 17-Jun-2022 15:34:21 584 216.4000 XLON 05002050000241586-E0AdF5rHrELt20220617
J.P. Morgan Securities plc 17-Jun-2022 15:35:52 182 216.6000 XLON 05002050000242829-E0AdF5rHrJAj20220617
J.P. Morgan Securities plc 17-Jun-2022 15:35:52 632 216.6000 XLON 05002050000242829-E0AdF5rHrJAh20220617
J.P. Morgan Securities plc 17-Jun-2022 15:35:57 165 216.4000 XLON 05002050000242572-E0AdF5rHrJN120220617
J.P. Morgan Securities plc 17-Jun-2022 15:35:57 630 216.4000 XLON 05002050000242572-E0AdF5rHrJMz20220617
J.P. Morgan Securities plc 17-Jun-2022 15:36:51 196 216.2000 XLON 05002050000242873-E0AdF5rHrLdb20220617
J.P. Morgan Securities plc 17-Jun-2022 15:41:05 433 216.2000 XLON 05002050000242873-E0AdF5rHrW6L20220617
J.P. Morgan Securities plc 17-Jun-2022 15:44:24 95 215.8000 XLON 07002070000243125-E0AdF5rHrdb420220617
J.P. Morgan Securities plc 17-Jun-2022 15:44:24 579 215.8000 XLON 07002070000243125-E0AdF5rHrdb020220617
J.P. Morgan Securities plc 17-Jun-2022 15:46:04 405 216.0000 XLON 05002050000250840-E0AdF5rHrhzF20220617
J.P. Morgan Securities plc 17-Jun-2022 15:46:04 27 216.0000 XLON 05002050000250840-E0AdF5rHrhzB20220617
J.P. Morgan Securities plc 17-Jun-2022 15:46:04 323 216.0000 XLON 05002050000250840-E0AdF5rHrhzD20220617
J.P. Morgan Securities plc 17-Jun-2022 15:47:51 277 216.0000 XLON 05002050000252544-E0AdF5rHrmpM20220617
J.P. Morgan Securities plc 17-Jun-2022 15:48:06 27 216.0000 XLON 05002050000252544-E0AdF5rHrng220220617
J.P. Morgan Securities plc 17-Jun-2022 15:50:46 773 216.0000 XLON 07002070000255757-E0AdF5rHrvAI20220617
J.P. Morgan Securities plc 17-Jun-2022 15:50:46 452 216.0000 XLON 05002050000252544-E0AdF5rHrv9R20220617
J.P. Morgan Securities plc 17-Jun-2022 15:50:46 359 215.8000 XLON 05002050000250255-E0AdF5rHrv9u20220617
J.P. Morgan Securities plc 17-Jun-2022 15:50:46 399 215.8000 XLON 05002050000250255-E0AdF5rHrv9s20220617
J.P. Morgan Securities plc 17-Jun-2022 15:50:51 458 215.2000 XLON 07002070000255789-E0AdF5rHrvRO20220617
J.P. Morgan Securities plc 17-Jun-2022 15:51:06 216 215.2000 XLON 07002070000255789-E0AdF5rHrwg420220617
J.P. Morgan Securities plc 17-Jun-2022 15:51:21 539 215.0000 XLON 05002050000255430-E0AdF5rHrxXx20220617
J.P. Morgan Securities plc 17-Jun-2022 15:53:53 780 216.0000 XLON 05002050000257501-E0AdF5rHs34020220617
J.P. Morgan Securities plc 17-Jun-2022 15:56:06 502 216.0000 XLON 07002070000259595-E0AdF5rHs8ow20220617
J.P. Morgan Securities plc 17-Jun-2022 15:56:21 629 215.8000 XLON 07002070000257758-E0AdF5rHs9vJ20220617
J.P. Morgan Securities plc 17-Jun-2022 16:01:04 876 216.6000 XLON 05002050000262851-E0AdF5rHsMi720220617
J.P. Morgan Securities plc 17-Jun-2022 16:01:36 537 216.4000 XLON 07002070000262262-E0AdF5rHsOVi20220617
J.P. Morgan Securities plc 17-Jun-2022 16:01:36 947 216.6000 XLON 05002050000263778-E0AdF5rHsOVq20220617
J.P. Morgan Securities plc 17-Jun-2022 16:02:21 458 216.0000 XLON 07002070000260331-E0AdF5rHsQvM20220617
J.P. Morgan Securities plc 17-Jun-2022 16:05:22 103 216.0000 XLON 07002070000265864-E0AdF5rHsZ7J20220617
J.P. Morgan Securities plc 17-Jun-2022 16:05:22 93 216.0000 XLON 07002070000265864-E0AdF5rHsZ7L20220617
J.P. Morgan Securities plc 17-Jun-2022 16:05:22 298 216.0000 XLON 07002070000265864-E0AdF5rHsZ7O20220617
J.P. Morgan Securities plc 17-Jun-2022 16:07:11 584 215.6000 XLON 05002050000266561-E0AdF5rHsdbe20220617
J.P. Morgan Securities plc 17-Jun-2022 16:08:06 455 216.0000 XLON 07002070000268774-E0AdF5rHsfrJ20220617
J.P. Morgan Securities plc 17-Jun-2022 16:11:58 22 216.0000 XLON 07002070000271826-E0AdF5rHspvL20220617
J.P. Morgan Securities plc 17-Jun-2022 16:11:58 450 216.0000 XLON 07002070000270829-E0AdF5rHspun20220617
J.P. Morgan Securities plc 17-Jun-2022 16:11:58 472 216.0000 XLON 07002070000271826-E0AdF5rHspvN20220617
J.P. Morgan Securities plc 17-Jun-2022 16:11:58 493 216.0000 XLON 07002070000270919-E0AdF5rHsput20220617
J.P. Morgan Securities plc 17-Jun-2022 16:12:01 284 215.6000 XLON 05002050000268191-E0AdF5rHsq5Y20220617
J.P. Morgan Securities plc 17-Jun-2022 16:12:06 210 215.6000 XLON 05002050000268191-E0AdF5rHsqI620220617
J.P. Morgan Securities plc 17-Jun-2022 16:12:21 674 215.4000 XLON 05002050000271521-E0AdF5rHsqrD20220617
J.P. Morgan Securities plc 17-Jun-2022 16:12:38 103 215.2000 XLON 07002070000271876-E0AdF5rHsrat20220617
J.P. Morgan Securities plc 17-Jun-2022 16:12:38 400 215.2000 XLON 07002070000271876-E0AdF5rHsrak20220617
J.P. Morgan Securities plc 17-Jun-2022 16:13:53 1 216.2000 XLON 07002070000273026-E0AdF5rHsuBU20220617
J.P. Morgan Securities plc 17-Jun-2022 16:13:53 544 216.2000 XLON 07002070000273026-E0AdF5rHsuBQ20220617
J.P. Morgan Securities plc 17-Jun-2022 16:13:53 39 216.2000 XLON 07002070000273026-E0AdF5rHsuBS20220617
J.P. Morgan Securities plc 17-Jun-2022 16:13:53 494 216.2000 XLON 07002070000273027-E0AdF5rHsuBa20220617
J.P. Morgan Securities plc 17-Jun-2022 16:13:55 629 216.2000 XLON 05002050000272573-E0AdF5rHsuCg20220617
J.P. Morgan Securities plc 17-Jun-2022 16:14:06 483 216.0000 XLON 05002050000272566-E0AdF5rHsuSR20220617
J.P. Morgan Securities plc 17-Jun-2022 16:16:45 629 216.4000 XLON 07002070000275114-E0AdF5rHt13z20220617
J.P. Morgan Securities plc 17-Jun-2022 16:17:06 449 216.2000 XLON 07002070000274688-E0AdF5rHt1zq20220617
J.P. Morgan Securities plc 17-Jun-2022 16:17:51 539 216.2000 XLON 05002050000275261-E0AdF5rHt3cw20220617
J.P. Morgan Securities plc 17-Jun-2022 16:18:06 674 216.0000 XLON 07002070000276131-E0AdF5rHt45T20220617
J.P. Morgan Securities plc 17-Jun-2022 16:23:06 554 216.8000 XLON 07002070000280273-E0AdF5rHtH3P20220617
J.P. Morgan Securities plc 17-Jun-2022 16:23:21 181 216.6000 XLON 05002050000278193-E0AdF5rHtHO020220617
J.P. Morgan Securities plc 17-Jun-2022 16:23:34 584 216.6000 XLON 05002050000280064-E0AdF5rHtHgf20220617
J.P. Morgan Securities plc 17-Jun-2022 16:23:34 268 216.6000 XLON 05002050000278193-E0AdF5rHtHfs20220617
J.P. Morgan Securities plc 17-Jun-2022 16:23:51 629 216.4000 XLON 05002050000277494-E0AdF5rHtI1h20220617
J.P. Morgan Securities plc 17-Jun-2022 16:24:21 530 216.4000 XLON 05002050000280322-E0AdF5rHtIoQ20220617
J.P. Morgan Securities plc 17-Jun-2022 16:25:14 30 216.2000 XLON 07002070000280703-E0AdF5rHtL9m20220617
J.P. Morgan Securities plc 17-Jun-2022 16:25:14 509 216.2000 XLON 07002070000280703-E0AdF5rHtL9s20220617

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