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Vistry Group PLC

Transaction in Own Shares Jun 13, 2024

4771_rns_2024-06-13_5b9a258b-97aa-41b5-b021-f63e6bbfb3da.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 2171S

Vistry Group PLC

13 June 2024

13 June 2024

Vistry Group PLC

Transaction in own shares

Vistry Group PLC (the "Company"), announces that, in accordance with the terms of its share buyback programme announced on 18 April 2024 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through HSBC Bank plc ("HSBC").

Date of purchase: 12/06/2024
Aggregate number of Ordinary Shares purchased: 15,900
Lowest price paid per share (GBp): 1236.00
Highest price paid per share (GBp): 1271.00
Volume weighted average price paid per share (GBp): 1253.8111

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,185,443 with 669,966 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,515,477. This figure for the total number of voting rights may be used by shareholders (and others with notification obligations) as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.    

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by HSBC as part of the Share Buyback Programme.

Individual transactions:

Number of ordinary shares purchased Transaction price (GBp share) Time of transaction (UK Time) Transaction reference number Trading venue
248 1254.00 08:24:21 01075258116TRLO1 XLON
234 1254.00 08:24:21 01075258117TRLO1 XLON
239 1250.00 08:24:40 01075258271TRLO1 XLON
252 1246.00 08:48:00 01075265547TRLO1 XLON
251 1246.00 08:48:00 01075265548TRLO1 XLON
241 1241.00 08:59:14 01075268389TRLO1 XLON
240 1241.00 09:21:16 01075273702TRLO1 XLON
241 1241.00 09:21:16 01075273703TRLO1 XLON
256 1245.00 09:25:03 01075274571TRLO1 XLON
3 1241.00 09:41:05 01075278555TRLO1 XLON
26 1242.00 09:43:02 01075278878TRLO1 XLON
223 1242.00 09:43:02 01075278879TRLO1 XLON
249 1240.00 09:52:35 01075280747TRLO1 XLON
7 1239.00 10:07:47 01075283911TRLO1 XLON
234 1239.00 10:07:47 01075283912TRLO1 XLON
245 1236.00 10:37:31 01075290321TRLO1 XLON
234 1236.00 10:37:31 01075290322TRLO1 XLON
241 1241.00 10:45:07 01075292158TRLO1 XLON
253 1240.00 10:57:43 01075294615TRLO1 XLON
236 1242.00 11:01:12 01075295569TRLO1 XLON
74 1241.00 11:07:30 01075297922TRLO1 XLON
178 1241.00 11:07:30 01075297923TRLO1 XLON
32 1243.00 11:28:44 01075304549TRLO1 XLON
217 1243.00 11:28:49 01075304569TRLO1 XLON
245 1243.00 11:28:49 01075304570TRLO1 XLON
2 1242.00 11:43:43 01075307496TRLO1 XLON
244 1242.00 11:43:43 01075307497TRLO1 XLON
143 1241.00 12:04:08 01075312496TRLO1 XLON
6 1241.00 12:04:08 01075312498TRLO1 XLON
91 1241.00 12:04:08 01075312499TRLO1 XLON
241 1240.00 12:21:18 01075317894TRLO1 XLON
236 1239.00 12:28:44 01075320219TRLO1 XLON
235 1240.00 12:56:39 01075328968TRLO1 XLON
237 1239.00 13:00:28 01075330106TRLO1 XLON
245 1243.00 13:20:27 01075335646TRLO1 XLON
234 1243.00 13:20:27 01075335647TRLO1 XLON
139 1242.00 13:21:18 01075335816TRLO1 XLON
116 1242.00 13:21:18 01075335817TRLO1 XLON
235 1250.00 13:30:59 01075339105TRLO1 XLON
246 1249.00 13:31:14 01075339338TRLO1 XLON
246 1252.00 13:33:13 01075340454TRLO1 XLON
41 1251.00 13:38:12 01075342163TRLO1 XLON
201 1251.00 13:38:23 01075342262TRLO1 XLON
253 1257.00 13:43:44 01075343950TRLO1 XLON
84 1255.00 13:55:16 01075346253TRLO1 XLON
168 1256.00 13:55:16 01075346254TRLO1 XLON
254 1257.00 13:59:17 01075347150TRLO1 XLON
251 1253.00 14:06:36 01075348978TRLO1 XLON
239 1259.00 14:15:19 01075352060TRLO1 XLON
238 1258.00 14:25:17 01075355343TRLO1 XLON
174 1255.00 14:28:22 01075356264TRLO1 XLON
61 1255.00 14:28:22 01075356265TRLO1 XLON
241 1262.00 14:35:22 01075370879TRLO1 XLON
240 1265.00 14:37:01 01075373895TRLO1 XLON
245 1269.00 14:39:09 01075376864TRLO1 XLON
235 1266.00 14:43:20 01075382069TRLO1 XLON
247 1266.00 14:48:16 01075388615TRLO1 XLON
255 1266.00 14:54:14 01075400516TRLO1 XLON
240 1264.00 15:00:05 01075409584TRLO1 XLON
247 1265.00 15:03:10 01075414409TRLO1 XLON
240 1266.00 15:08:05 01075421331TRLO1 XLON
244 1264.00 15:15:02 01075430400TRLO1 XLON
246 1264.00 15:23:25 01075441091TRLO1 XLON
253 1264.00 15:23:25 01075441092TRLO1 XLON
256 1265.00 15:27:27 01075446474TRLO1 XLON
252 1265.00 15:27:28 01075446485TRLO1 XLON
253 1267.00 15:30:09 01075449862TRLO1 XLON
5 1267.00 15:33:31 01075454700TRLO1 XLON
151 1268.00 15:35:01 01075456406TRLO1 XLON
16 1268.00 15:35:01 01075456407TRLO1 XLON
84 1268.00 15:35:09 01075456574TRLO1 XLON
51 1269.00 15:41:39 01075464530TRLO1 XLON
191 1269.00 15:41:39 01075464531TRLO1 XLON
249 1269.00 15:41:39 01075464532TRLO1 XLON
234 1270.00 15:45:52 01075469819TRLO1 XLON
250 1271.00 15:56:47 01075482862TRLO1 XLON
252 1271.00 15:56:47 01075482863TRLO1 XLON
716 1268.00 16:11:57 01075498184TRLO1 XLON
248 1268.00 16:11:57 01075498185TRLO1 XLON

This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

Vistry Group PLC

Clare Bates, General Counsel & Group Company Secretary
01675 437160

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