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Kingfisher PLC

Transaction in Own Shares Oct 4, 2024

4675_rns_2024-10-04_7965e8c1-9d90-4454-9d43-d08d1801109e.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 9044G

Kingfisher PLC

04 October 2024

KINGFISHER PLC

Transaction in own shares

04 October 2024: Kingfisher plc, ISIN: GB0033195214 (the "Company", "Kingfisher") announces that on 03 October 2024 it purchased for cancellation the following number of ordinary shares of 15 5/7 pence each from Goldman Sachs International ("GSI") as part of its £300 million share repurchase programme announced on 19 September 2023 (the "Programme"). All shares were purchased by Kingfisher from GSI as an "on-exchange" transaction subject to the rules of the London Stock Exchange.

Date of Purchase: 03 October 2024
Total number of shares purchased: 15,000
Volume Weighted Average price paid per share: £3.1310
Highest price paid per share: £3.1500
Lowest price paid per share: £3.1070

To date, Kingfisher has purchased 8,906,160 ordinary shares in aggregate for cancellation from GSI in connection with the fourth tranche of the Programme. Kingfisher also previously purchased 22,781,508 ordinary shares in aggregate for cancellation from BNP Paribas Financial Markets, 19,944,368 ordinary shares in aggregate for cancellation from GSI, and 18,612,440 ordinary shares in aggregate for cancellation from GSI in connection with its execution of the first, second and third tranches, respectively, of the Programme.

A schedule of individual trades carried out by GSI as principal in connection with the above purchases is set out below.

Schedule of Purchases - Aggregate Information

Trading Venue Number of Shares Volume Weighted Average Price paid per share
XLON 15,000 £3.1310
CHIX 0 £0.0000
BATE 0 £0.0000
TRQX 0 £0.0000
AQXE 0 £0.0000

Schedule of Purchases - Individual Transactions

Price GBP Time of each trade on 03 Oct 2024 (BST) Trading Venue Number of Shares Transaction Reference Number
3.1350 09:56:38 XLON 750 1081164144067278
3.1360 09:56:39 XLON 750 1081164144067287
3.1460 10:28:19 XLON 908 1081164144069846
3.1500 10:59:57 XLON 769 1081164144073595
3.1450 11:35:45 XLON 752 1081164144076497
3.1440 12:14:51 XLON 755 1081164144079525
3.1500 12:57:17 XLON 759 1081164144082656
3.1390 13:29:18 XLON 758 1081164144085461
3.1410 13:55:52 XLON 762 1081164144088636
3.1390 14:20:39 XLON 753 1081164144091623
3.1340 14:36:21 XLON 777 1081164144094801
3.1290 14:47:08 XLON 713 1081164144097072
3.1290 14:47:08 XLON 52 1081164144097073
3.1260 14:59:24 XLON 767 1081164144100098
3.1280 15:11:33 XLON 759 1081164144103800
3.1180 15:24:58 XLON 761 1081164144108569
3.1070 15:41:39 XLON 852 1081164144112521
3.1070 15:59:16 XLON 837 1081164144116160
3.1110 16:15:41 XLON 824 1081164144120510
3.1130 16:23:09 XLON 209 1081164144123375
3.1130 16:23:09 XLON 583 1081164144123376
3.1110 16:29:56 XLON 150 1081164144126124
Contacts: Tel: Email:
Company Secretary +44 (0) 77 6880 6248 [email protected]
Investor Relations +44 (0) 20 7644 1082 [email protected]
Treasury +44 (0) 20 7372 8008 [email protected]

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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