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Pennon Group PLC

Net Asset Value Jul 29, 2015

4705_rns_2015-07-29_16d7f94d-0747-43bd-8916-1899dee57a60.html

Net Asset Value

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RNS Number : 4912U

Pennon Group PLC

29 July 2015

PENNON GROUP PLC

TRANSFER OF SHARES OUT OF TREASURY (LR12.6.4)

Pursuant to LR12.6.4 Pennon Group announces the following transfers of treasury shares for the purposes of the Company's Executive Share Option Scheme:

Date of transfer Number of ordinary shares of nominal value 40.7p transferred Transfer price (exercise price pursuant to the Scheme) Total number of treasury shares held following transfer out of treasury Total number of ordinary shares of nominal value 40.7p in issue less the total number of treasury shares held following transfer out of treasury
29 July 2015 3,976 £7.545 237,315 411,193,278

29 July 2015

www.pennon-group.co.uk

This information is provided by RNS

The company news service from the London Stock Exchange

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