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Grafton Group

Transaction in Own Shares Jan 13, 2023

6272_rns_2023-01-13_13f708e1-19f3-4141-849a-a661cadfc2c2.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 5922M

Grafton Group PLC

13 January 2023

TRANSACTION IN OWN SHARES

13 January 2023

Grafton Group plc, ("Grafton" or the "Company") announces that on 12 January 2023 it purchased, for cancellation, the following number of ordinary shares of €0.05 each in the Company (the "Shares") on the London Stock Exchange through Numis Securities Limited ("Numis") as part of its GBP 100 million share buyback programme announced on 10 November 2022.

London Stock Exchange
Date of purchase 12 January 2023
Number of ordinary shares purchased: 11,053
Volume weighted average price paid: £ 8.811135
Highest price paid per share: £ 8.850
Lowest price paid per share: £ 8.603

Grafton has to date purchased 4,767,805 shares in aggregate for cancellation through/from (as the

case may be) Goodbody and Numis Securities Limited in connection with its share buyback programme which commenced on 10 November 2022.

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation) (also in force in the UK, from time to time, including, where relevant, pursuant to the UK's European Union (Withdrawal) Act 2018 and Market Abuse (Amendment) (EU Exit) Regulations 2019), a detailed breakdown of individual trades made on 12 January 2023 by Numis on behalf of the Company as part of the buyback programme is scheduled to this announcement.

For further information, please contact:

Susan Lannigan

Deputy Company Secretary

[email protected]

Tel: +353 1 216 0600

Schedule

Transaction Details

Issuer Name Grafton Group plc
LEI 635400QL8I2DF7QZT307
ISIN IE00B00MZ448
Intermediary Name Numis Securities Limited
Intermediary Code NUMS
Time Zone BST
Currency GBP
Date of Transactions 12 January 2023

Aggregated information:

Trading Venue Currency Volume Weighted Average Price Aggregated Volume
London Stock Exchange GBP £ 8.811135 11,053
Number of ordinary shares purchased Transaction price per ordinary share (pence) Trading venue Time of transaction (UK Time) Transaction reference number
407 863.40 XLON 08:09:01 00063127030TRLO0
401 861.20 XLON 08:09:06 00063127052TRLO0
361 860.30 XLON 08:13:15 00063127329TRLO0
167 864.90 XLON 08:27:02 00063128460TRLO0
443 885.00 XLON 10:24:00 00063136883TRLO0
414 885.00 XLON 10:38:07 00063137673TRLO0
388 884.20 XLON 10:38:07 00063137674TRLO0
567 883.00 XLON 10:39:21 00063137712TRLO0
437 883.00 XLON 10:39:23 00063137714TRLO0
242 880.70 XLON 10:39:37 00063137726TRLO0
491 885.00 XLON 10:53:00 00063138399TRLO0
209 885.00 XLON 10:53:00 00063138400TRLO0
43 885.00 XLON 10:53:00 00063138401TRLO0
100 885.00 XLON 10:53:00 00063138402TRLO0
41 885.00 XLON 10:53:00 00063138403TRLO0
57 885.00 XLON 10:53:00 00063138404TRLO0
350 885.00 XLON 10:53:00 00063138405TRLO0
55 885.00 XLON 11:01:28 00063138815TRLO0
302 885.00 XLON 11:02:20 00063138883TRLO0
272 885.00 XLON 11:02:20 00063138884TRLO0
168 885.00 XLON 11:02:20 00063138885TRLO0
357 884.40 XLON 11:10:39 00063139329TRLO0
367 885.00 XLON 11:35:04 00063141164TRLO0
419 884.10 XLON 11:46:19 00063142061TRLO0
27 883.00 XLON 12:26:10 00063144523TRLO0
411 883.10 XLON 12:26:18 00063144528TRLO0
56 885.00 XLON 12:34:41 00063145117TRLO0
489 885.00 XLON 12:34:41 00063145118TRLO0
370 875.80 XLON 13:31:55 00063149199TRLO0
78 882.00 XLON 13:33:48 00063149488TRLO0
19 882.00 XLON 13:33:48 00063149489TRLO0
438 882.00 XLON 13:34:15 00063149521TRLO0
359 882.40 XLON 13:43:29 00063150792TRLO0
596 882.40 XLON 13:43:29 00063150793TRLO0
361 884.80 XLON 13:52:19 00063151430TRLO0
61 885.00 XLON 14:14:17 00063153940TRLO0
150 885.00 XLON 14:14:17 00063153941TRLO0
50 885.00 XLON 14:14:17 00063153942TRLO0
50 885.00 XLON 14:14:17 00063153943TRLO0
50 885.00 XLON 14:14:17 00063153944TRLO0
25 885.00 XLON 14:14:17 00063153945TRLO0
405 885.00 XLON 14:14:17 00063153946TRLO0

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.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.

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