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Bellway PLC

Transaction in Own Shares Sep 11, 2023

5265_rns_2023-09-11_61e136f4-cb57-47f1-a200-7b153ded03d2.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 9316L

Bellway PLC

11 September 2023

Transaction in Own Shares

Bellway p.l.c. ('Bellway' or the 'Group') announces that, in accordance with the terms of the second tranche (the 'Second Tranche') of its share buyback programme (the 'Buyback Programme') announced on 28 March 2023, the Group has purchased the following number of ordinary shares of 12.5 pence each (the 'Ordinary Shares') through Citigroup Global Markets Limited.

Date of purchase 08/09/2023
Number of Ordinary Shares purchased: 7,994
Highest price paid per share (GBp): 2126.00
Lowest price paid per share (GBp): 2102.00
Volume weighted average price paid (GBp): 2117.2690

The purchased Ordinary Shares will be cancelled.

Since the announcement of the Second Tranche of the Buyback Programme on 19 June 2023, Bellway has purchased 1,563,623 Ordinary Shares in aggregate for cancellation.  Following settlement of the above purchases and cancellation of the purchased ordinary shares, the Group's total number of ordinary shares in issue shall be 119,776,856 ordinary shares.

Taken together with the Ordinary Shares purchased under the first tranche of the Buyback Programme, Bellway has now purchased 3,711,078 Ordinary Shares in aggregate for cancellation under the Buyback Programme.

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), the table below contains detailed information of the individual trades made by Citigroup Global Markets Limited on behalf of Bellway as part of the Buyback Programme.

For further information, please contact:

Bellway p.l.c.

Keith Adey, Group Finance Director

0191 217 0717

Gavin Jago, Group Investor Relations Director

0191 217 0717

Aggregated information of ordinary shares purchased according to each trading venue:

Trading Venue Volume Weighted Average Price (pence per share) Aggregated Volume Lowest price paid per share (pence) Highest price paid per share (pence)
London Stock Exchange 2117.2690 7,994 2102.00 2126.00

Individual transactions:

Number of shares purchased Transaction price per share (pence) Time of transaction Transaction reference number Trading venue
99 2,122.00 16:27:17 xy48Pl80$rz XLON
143 2,124.00 16:22:56 xy48Pl80wnb XLON
2 2,124.00 16:22:56 xy48Pl80wnd XLON
114 2,126.00 16:21:31 xy48Pl80xra XLON
97 2,126.00 16:21:31 xy48Pl80xrc XLON
110 2,126.00 16:21:31 xy48Pl80xre XLON
360 2,126.00 16:21:31 xy48Pl80xrW XLON
64 2,126.00 16:21:31 xy48Pl80xrY XLON
177 2,124.00 15:54:55 xy48Pl80fSd XLON
138 2,124.00 15:46:02 xy48Pl80GS5 XLON
81 2,126.00 15:41:08 xy48Pl80Sc9 XLON
90 2,126.00 15:41:08 xy48Pl80ScB XLON
3 2,126.00 15:39:10 xy48Pl80T4G XLON
13 2,126.00 15:39:10 xy48Pl80T4I XLON
66 2,126.00 15:39:10 xy48Pl80T4K XLON
85 2,124.00 15:32:51 xy48Pl806Bn XLON
108 2,122.00 15:32:51 xy48Pl806Bq XLON
96 2,124.00 15:32:39 xy48Pl806HR XLON
113 2,124.00 15:32:39 xy48Pl806Gj XLON
86 2,124.00 15:09:16 xy48Pl81q6H XLON
98 2,126.00 15:08:07 xy48Pl81r7r XLON
4 2,126.00 15:08:07 xy48Pl81r7t XLON
128 2,120.00 15:02:21 xy48Pl81n@o XLON
184 2,122.00 15:02:20 xy48Pl81n@B XLON
6 2,114.00 14:48:51 xy48Pl81ckd XLON
113 2,116.00 14:48:50 xy48Pl81ckp XLON
139 2,118.00 14:48:50 xy48Pl81ckr XLON
87 2,120.00 14:46:18 xy48Pl81dSq XLON
168 2,120.00 14:43:10 xy48Pl81bJM XLON
93 2,118.00 14:33:16 xy48Pl81io4 XLON
182 2,116.00 14:33:16 xy48Pl81ioB XLON
167 2,112.00 14:22:26 xy48Pl81f4B XLON
98 2,116.00 14:19:35 xy48Pl81M6b XLON
84 2,116.00 14:13:41 xy48Pl81KAN XLON
96 2,114.00 13:54:08 xy48Pl81SY5 XLON
129 2,116.00 13:49:33 xy48Pl81QjQ XLON
68 2,116.00 13:42:45 xy48Pl81OCm XLON
6 2,116.00 13:42:45 xy48Pl81OCo XLON
5 2,116.00 13:42:45 xy48Pl81OCq XLON
65 2,116.00 13:42:45 xy48Pl81OCs XLON
1 2,116.00 13:42:45 xy48Pl81OCu XLON
80 2,118.00 13:40:18 xy48Pl81P1j XLON
106 2,116.00 13:40:18 xy48Pl81P1m XLON
123 2,118.00 13:35:37 xy48Pl8179e XLON
1 2,118.00 13:35:37 xy48Pl8179g XLON
2 2,118.00 13:35:37 xy48Pl8179i XLON
22 2,118.00 13:35:37 xy48Pl8179k XLON
22 2,118.00 13:35:37 xy48Pl8179m XLON
127 2,108.00 13:03:35 xy48Pl818g$ XLON
1 2,108.00 12:58:15 xy48Pl82sYT XLON
23 2,108.00 12:58:15 xy48Pl82sYV XLON
105 2,102.00 12:38:10 xy48Pl82mAH XLON
99 2,104.00 12:24:19 xy48Pl82yPW XLON
115 2,106.00 12:24:19 xy48Pl82yPa XLON
90 2,108.00 12:04:35 xy48Pl82d6m XLON
133 2,110.00 12:04:34 xy48Pl82d6w XLON
136 2,110.00 11:52:27 xy48Pl82kBj XLON
12 2,112.00 11:52:27 xy48Pl82kBo XLON
57 2,112.00 11:52:27 xy48Pl82kBq XLON
144 2,110.00 11:36:02 xy48Pl82fkl XLON
26 2,106.00 11:06:55 xy48Pl82VVP XLON
51 2,106.00 11:06:55 xy48Pl82VVR XLON
94 2,106.00 11:00:20 xy48Pl82Qlp XLON
14 2,108.00 10:52:06 xy48Pl82P6K XLON
60 2,108.00 10:52:06 xy48Pl82P6M XLON
47 2,108.00 10:45:51 xy48Pl824kv XLON
59 2,108.00 10:45:51 xy48Pl824kx XLON
101 2,108.00 10:42:48 xy48Pl825Zz XLON
112 2,108.00 10:33:19 xy48Pl8205o XLON
86 2,106.00 10:16:30 xy48Pl82AEX XLON
35 2,106.00 10:16:30 xy48Pl82AEZ XLON
51 2,102.00 10:06:12 xy48Pl83sDq XLON
34 2,102.00 10:06:12 xy48Pl83sDs XLON
88 2,108.00 09:58:04 xy48Pl83oeR XLON
83 2,110.00 09:52:29 xy48Pl83mym XLON
97 2,112.00 09:50:47 xy48Pl83nr$ XLON
65 2,112.00 09:35:24 xy48Pl83xh5 XLON
110 2,116.00 09:31:15 xy48Pl83uH6 XLON
143 2,118.00 09:21:46 xy48Pl83a0Y XLON
141 2,120.00 09:20:45 xy48Pl83bXa XLON
34 2,122.00 09:20:15 xy48Pl83bnj XLON
133 2,122.00 09:20:15 xy48Pl83bnl XLON
87 2,122.00 09:20:15 xy48Pl83bn@ XLON
87 2,122.00 09:15:02 xy48Pl83Z7D XLON
87 2,122.00 09:15:02 xy48Pl83Z7R XLON
87 2,120.00 09:10:09 xy48Pl83XLr XLON
73 2,118.00 08:42:21 xy48Pl83K32 XLON
87 2,116.00 08:42:21 xy48Pl83K39 XLON
136 2,118.00 08:27:41 xy48Pl83UfS XLON
156 2,122.00 08:14:04 xy48Pl83RKK XLON
25 2,120.00 08:10:00 xy48Pl83PtM XLON
9 2,120.00 08:10:00 xy48Pl83PtO XLON
19 2,122.00 08:10:00 xy48Pl83PtQ XLON
113 2,122.00 08:10:00 xy48Pl83PtS XLON

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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