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Baltic Classifieds Group PLC

Transaction in Own Shares Feb 19, 2024

5221_rns_2024-02-19_f8b30538-81c2-4065-a74b-9a543787573f.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 5224D

Baltic Classifieds Group PLC

19 February 2024

19 February 2024

Baltic Classifieds Group PLC

(the "Company")

Baltic Classifieds Group PLC Transaction in Own Shares

Baltic Classifieds Group PLC announces that on 16 February 2024 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 236.1650p per share:

Number of ordinary shares purchased:            95,900

Highest purchase price paid per share:            240.0000p

Lowest purchase price paid per share:             227.0000p

Following the above transaction, the Company has 490,301,385 ordinary shares in issue and does not hold any ordinary shares in treasury. Therefore the total number of voting rights in the Company is 490,301,385 which may be used by shareholders 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, Baltic Classifieds Group PLC 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), the schedule below contains detailed information about the purchases made by Merrill Lynch International on behalf of the Company as part of the buyback programme.

Enquiries

Baltic Classifieds Group PLC

Company Secretary: [email protected]

Baltic Classifieds Group PLC LEI: 213800I1RPHCFSSQS969

Schedule of Purchases - Individual Transactions

Number of shares purchased Transaction price

(pence per share)
Time of transaction Execution venue
693 227.00 08:10:49 XLON
235 227.00 08:10:49 XLON
674 227.00 08:14:38 XLON
562 227.00 08:14:38 XLON
544 227.00 08:25:46 XLON
403 227.00 08:25:46 XLON
505 227.00 08:35:58 XLON
320 227.00 08:35:58 XLON
499 227.00 08:47:30 XLON
339 227.00 08:47:30 XLON
499 227.00 09:05:32 XLON
505 227.00 09:11:36 XLON
455 227.00 09:11:36 XLON
392 231.00 09:14:58 BATE
159 231.00 09:14:59 XLON
3,153 230.00 09:15:49 XLON
536 230.00 09:15:49 XLON
202 238.50 10:50:53 XLON
1,169 238.50 10:50:53 XLON
420 237.50 10:51:02 XLON
720 236.50 10:59:45 CHIX
2,247 236.50 10:59:45 XLON
75 236.50 10:59:45 BATE
730 237.00 10:59:45 XLON
167 237.00 11:00:15 CHIX
32 236.50 11:00:16 BATE
21 236.50 11:00:16 BATE
125 236.50 11:00:16 XLON
236 236.50 11:00:16 XLON
88 236.50 11:00:16 XLON
355 236.50 11:00:16 XLON
282 236.50 11:00:20 CHIX
90 236.50 11:00:20 BATE
555 236.00 11:00:43 XLON
225 236.00 11:00:43 BATE
124 238.00 12:14:08 CHIX
52 238.00 12:15:24 CHIX
47 238.00 12:15:24 CHIX
231 238.00 12:15:25 CHIX
49 238.00 12:15:25 CHIX
5,587 237.50 12:15:28 XLON
135 236.50 12:15:30 CHIX
225 236.00 12:15:30 CHIX
306 236.00 13:25:12 CHIX
809 236.00 13:31:11 XLON
307 235.50 13:31:11 XLON
151 236.50 13:32:32 CHIX
90 238.00 14:35:21 XLON
760 238.00 14:35:21 XLON
350 238.00 14:35:21 XLON
159 238.00 14:35:21 XLON
159 238.00 14:45:23 CHIX
255 238.00 14:58:41 BATE
440 239.00 15:30:09 XLON
730 239.00 15:30:09 XLON
1,015 238.00 15:30:18 XLON
128 238.00 15:30:20 CHIX
158 237.50 15:30:27 CHIX
2,228 237.00 15:30:27 XLON
4,000 237.00 15:30:31 XLON
99 237.00 15:30:31 XLON
232 236.00 15:30:51 BATE
111 236.00 15:30:51 CHIX
1,085 236.50 15:30:51 XLON
749 236.00 15:30:51 XLON
100 236.00 15:31:38 CHIX
1,015 236.00 15:35:57 XLON
887 236.00 15:35:57 XLON
1,002 236.00 15:40:38 XLON
1,044 236.00 15:42:14 XLON
1,017 236.00 15:44:12 XLON
1,019 236.00 15:45:52 XLON
426 236.00 15:47:07 XLON
595 236.00 15:47:07 XLON
1,035 236.00 15:48:33 XLON
1,046 236.00 15:49:22 XLON
942 236.00 15:49:22 XLON
1,243 236.00 15:53:14 XLON
1,066 236.00 15:56:19 XLON
1,085 236.00 15:58:03 XLON
1,073 236.00 15:59:47 XLON
926 236.00 16:01:18 XLON
1 236.00 16:01:18 XLON
165 236.00 16:01:18 XLON
1,095 236.00 16:03:13 XLON
1,097 236.00 16:04:51 XLON
1,089 236.00 16:05:43 XLON
1,148 236.00 16:06:43 XLON
1,118 236.00 16:08:41 XLON
1,145 236.00 16:10:02 XLON
1,013 236.00 16:11:44 XLON
112 236.00 16:11:44 XLON
1,110 236.00 16:12:41 XLON
1,125 236.00 16:13:36 XLON
1,253 236.00 16:14:19 XLON
1,126 236.00 16:14:42 XLON
1,128 236.00 16:15:28 XLON
32 236.00 16:16:14 XLON
2 236.00 16:16:14 XLON
1,211 236.00 16:16:14 XLON
1,184 236.00 16:16:59 XLON
746 236.00 16:17:37 XLON
552 239.00 16:17:55 XLON
410 239.00 16:17:55 XLON
2,755 240.00 16:19:51 XLON
1,045 239.50 16:19:55 XLON
984 239.00 16:19:55 XLON
530 239.50 16:20:35 XLON
159 239.50 16:20:35 XLON
1,019 240.00 16:21:06 XLON
842 240.00 16:21:23 XLON
159 240.00 16:21:23 XLON
314 239.50 16:23:17 CHIX
203 239.50 16:23:17 XLON
31 239.50 16:23:17 XLON
255 239.50 16:23:17 CHIX
428 239.50 16:23:17 CHIX
1,500 239.50 16:23:17 XLON
1,098 239.50 16:23:17 XLON
159 239.50 16:23:17 XLON
50 240.00 16:23:17 XLON
229 239.50 16:27:58 CHIX
107 240.00 16:28:02 CHIX
2,987 237.50 16:35:00 XLON
455 237.50 16:35:00 XLON
1,623 237.50 16:35:00 XLON
424 237.50 16:35:00 XLON
4,415 237.50 16:35:00 XLON
1,763 237.50 16:35:00 XLON

Schedule of Purchases - Aggregated by each trading venue

Venue Weighted average price paid per share (pence) Aggregate number of shares purchased Lowest price paid per share (pence) Highest price paid per share (pence)
London Stock Exchange 236.1090 90,100 227.0000 240.0000
Chi-X (CXE) 237.6407 4,478 236.0000 240.0000
BATS (BXE) 234.9856 1,322 231.0000 238.0000

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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