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GAMMA COMMUNICATIONS PLC

Transaction in Own Shares Jun 11, 2024

7659_rns_2024-06-11_f0722262-b28e-467b-a29e-5270e77468e9.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 8745R

Gamma Communications PLC

11 June 2024

11 June 2024                                      

Gamma Communications plc

("Gamma" or the "Company")

Transaction in Own Shares

Gamma Communications plc announces it has purchased the following number of its ordinary shares of 0.25 pence each through Investec Bank plc.

Ordinary Shares

Date of purchase: 10 June 2024
Number of ordinary shares purchased: 16,498
Lowest price per share (pence): 1,442
Highest price per share (pence): 1,460
Weighted average price per day (pence): 1,454.561

The Company intends to hold the purchased shares in treasury.

Following the above transaction, the Company has 642,474 ordinary shares held in treasury and 96,857,915 ordinary shares in issue (excluding treasury shares).

The table below contains detailed information about the purchases made as part of the buyback programme which was announced by the Company on 25th March 2024 (the "Programme").

Aggregate information:

Venue Volume-weighted average price (p) Aggregated volume Lowest price per share (p) Highest price per share (p)
XLON 1,454.5610 16,498 1,442.00 1,460.00

Schedule of Purchases - Individual Transactions

In accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No 596/2014 as it forms part of UK law, a full breakdown of the individual trades made by Investec on behalf of the Company as part of the Programme is detailed below:

Date and time of each trade Number of shares purchased Price (pence per share) Trading Venue Transaction Reference Number
10 June 2024 08:39:34 196 1,454.00 XLON 00279631149TRLO1
10 June 2024 08:39:34 97 1,460.00 XLON 00279631151TRLO1
10 June 2024 08:50:19 300 1,460.00 XLON 00279640954TRLO1
10 June 2024 08:57:18 94 1,460.00 XLON 00279648651TRLO1
10 June 2024 08:59:24 87 1,460.00 XLON 00279650340TRLO1
10 June 2024 09:11:55 88 1,460.00 XLON 00279664884TRLO1
10 June 2024 09:17:04 92 1,460.00 XLON 00279671192TRLO1
10 June 2024 09:20:34 100 1,460.00 XLON 00279675265TRLO1
10 June 2024 09:21:27 100 1,460.00 XLON 00279676423TRLO1
10 June 2024 09:24:55 100 1,460.00 XLON 00279679813TRLO1
10 June 2024 09:48:39 96 1,460.00 XLON 00279713218TRLO1
10 June 2024 09:48:39 91 1,460.00 XLON 00279713219TRLO1
10 June 2024 09:48:42 117 1,458.00 XLON 00279713304TRLO1
10 June 2024 09:49:10 22 1,458.00 XLON 00279714303TRLO1
10 June 2024 10:12:34 100 1,458.00 XLON 00279752104TRLO1
10 June 2024 10:33:42 2 1,454.00 XLON 00279778567TRLO1
10 June 2024 10:33:42 94 1,454.00 XLON 00279778568TRLO1
10 June 2024 10:40:01 91 1,460.00 XLON 00279786568TRLO1
10 June 2024 10:40:01 506 1,460.00 XLON 00279786569TRLO1
10 June 2024 10:40:01 55 1,460.00 XLON 00279786570TRLO1
10 June 2024 10:40:01 178 1,460.00 XLON 00279786571TRLO1
10 June 2024 10:40:01 722 1,460.00 XLON 00279786572TRLO1
10 June 2024 10:41:32 170 1,456.00 XLON 00279788052TRLO1
10 June 2024 10:41:32 119 1,456.00 XLON 00279788053TRLO1
10 June 2024 10:41:32 270 1,456.00 XLON 00279788054TRLO1
10 June 2024 10:51:20 59 1,458.00 XLON 00279800060TRLO1
10 June 2024 10:51:20 345 1,460.00 XLON 00279800061TRLO1
10 June 2024 10:51:20 93 1,460.00 XLON 00279800062TRLO1
10 June 2024 10:51:20 38 1,460.00 XLON 00279800063TRLO1
10 June 2024 10:51:21 842 1,460.00 XLON 00279800116TRLO1
10 June 2024 10:51:22 751 1,460.00 XLON 00279800152TRLO1
10 June 2024 10:51:23 804 1,460.00 XLON 00279800163TRLO1
10 June 2024 10:51:24 854 1,460.00 XLON 00279800206TRLO1
10 June 2024 10:51:25 122 1,460.00 XLON 00279800228TRLO1
10 June 2024 10:51:34 106 1,460.00 XLON 00279800405TRLO1
10 June 2024 10:51:42 95 1,460.00 XLON 00279800594TRLO1
10 June 2024 10:51:42 93 1,456.00 XLON 00279800596TRLO1
10 June 2024 10:55:03 93 1,456.00 XLON 00279803978TRLO1
10 June 2024 11:01:39 101 1,454.00 XLON 00279811646TRLO1
10 June 2024 11:18:45 101 1,454.00 XLON 00279812141TRLO1
10 June 2024 11:18:49 98 1,454.00 XLON 00279812164TRLO1
10 June 2024 11:44:55 99 1,452.00 XLON 00279812588TRLO1
10 June 2024 12:03:54 1 1,450.00 XLON 00279812908TRLO1
10 June 2024 12:03:54 92 1,450.00 XLON 00279812909TRLO1
10 June 2024 12:48:43 96 1,450.00 XLON 00279814053TRLO1
10 June 2024 12:56:55 117 1,450.00 XLON 00279814192TRLO1
10 June 2024 13:33:51 98 1,448.00 XLON 00279814908TRLO1
10 June 2024 13:33:51 81 1,448.00 XLON 00279814909TRLO1
10 June 2024 13:33:51 17 1,448.00 XLON 00279814910TRLO1
10 June 2024 13:33:51 171 1,448.00 XLON 00279814911TRLO1
10 June 2024 13:43:41 94 1,446.00 XLON 00279815053TRLO1
10 June 2024 14:32:55 88 1,448.00 XLON 00279816098TRLO1
10 June 2024 14:32:55 460 1,448.00 XLON 00279816099TRLO1
10 June 2024 14:32:55 296 1,448.00 XLON 00279816100TRLO1
10 June 2024 14:42:31 100 1,444.00 XLON 00279816605TRLO1
10 June 2024 14:42:31 99 1,444.00 XLON 00279816606TRLO1
10 June 2024 14:42:31 99 1,444.00 XLON 00279816607TRLO1
10 June 2024 14:42:31 303 1,444.00 XLON 00279816608TRLO1
10 June 2024 14:42:31 330 1,444.00 XLON 00279816609TRLO1
10 June 2024 15:36:32 117 1,444.00 XLON 00279818231TRLO1
10 June 2024 15:37:19 117 1,444.00 XLON 00279818259TRLO1
10 June 2024 16:18:45 64 1,446.00 XLON 00279820151TRLO1
10 June 2024 16:18:45 100 1,446.00 XLON 00279820152TRLO1
10 June 2024 16:18:45 18 1,446.00 XLON 00279820153TRLO1
10 June 2024 16:18:45 303 1,444.00 XLON 00279820155TRLO1
10 June 2024 16:18:48 302 1,442.00 XLON 00279820156TRLO1
10 June 2024 16:24:12 78 1,448.00 XLON 00279820518TRLO1
10 June 2024 16:24:12 63 1,448.00 XLON 00279820519TRLO1
10 June 2024 16:24:12 4 1,448.00 XLON 00279820520TRLO1
10 June 2024 16:24:12 190 1,448.00 XLON 00279820521TRLO1
10 June 2024 16:24:12 103 1,448.00 XLON 00279820522TRLO1
10 June 2024 16:29:33 490 1,450.00 XLON 00279820878TRLO1
10 June 2024 16:29:33 180 1,450.00 XLON 00279820879TRLO1
10 June 2024 16:29:51 1,888 1,454.00 XLON 00279820919TRLO1
10 June 2024 16:29:51 1,351 1,454.00 XLON 00279820920TRLO1
10 June 2024 16:29:51 7 1,454.00 XLON 00279820921TRLO1

For further information:

Rachael Matzopoulos Company Secretary +44 (0)333 006 5972

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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