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Direct Line Insurance Group PLC

Transaction in Own Shares Aug 10, 2021

4900_rns_2021-08-10_0ec36ca9-1828-49c3-a9b3-17a8b8c10617.html

Transaction in Own Shares

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RNS Number : 0739I

Direct Line Insurance Group PLC

10 August 2021

DIRECT LINE INSURANCE GROUP PLC

TRANSACTIONS IN OWN SHARES

Direct Line Insurance Group plc ("DLG") announces today that it has purchased the following number of its ordinary shares of 10 10/11 pence each on the London Stock Exchange from Goldman Sachs International. Such purchase was effected pursuant to instructions issued by DLG on 3 August 2021, as announced on 4 August 2021:

Date of purchase Number of shares purchased Highest price paid: (pence Lowest price paid: (pence) Volume  weighted average price paid per share (pence) Venue
9 August 2021 35,055 £ 311.80 £ 308.80 £ 310.04 LSE

DLG will cancel the purchased shares. 

Following the cancellation of the repurchased shares, DLG will hold no ordinary shares in treasury and will have 1,347,741,274 ordinary shares in issue. Therefore, the total number of voting rights in DLG will be 1,347,741,274. This is the figure which should be used by shareholders as the denominator when determining whether they are required to notify their interest in, or a change to their interest in DLG, under the Financial Conduct Authority's Disclosure Guidance and Transparency Rules.

In accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018), a full breakdown of the individual trades by Goldman Sachs is detailed below:

Date Time Price (pence) Quantity purchased Exchange Venue Reference number of transaction
09/08/2021 08:46:47 £ 308.80 998 XLON 369299151660523
09/08/2021 09:10:07 £ 309.40 1,013 XLON 369299151663467
09/08/2021 09:12:07 £ 309.20 750 XLON 369299151663747
09/08/2021 09:18:12 £ 309.20 571 XLON 369299151664329
09/08/2021 09:23:27 £ 308.90 19 XLON 369299151664770
09/08/2021 09:31:19 £ 309.00 76 XLON 369299151665540
09/08/2021 09:31:56 £ 309.00 666 XLON 369299151665585
09/08/2021 09:35:44 £ 309.30 720 XLON 369299151665967
09/08/2021 09:47:50 £ 309.20 616 XLON 369299151667297
09/08/2021 09:55:12 £ 309.40 757 XLON 369299151667888
09/08/2021 09:55:12 £ 309.40 83 XLON 369299151667889
09/08/2021 10:11:54 £ 309.50 882 XLON 369299151669696
09/08/2021 10:18:06 £ 309.20 672 XLON 369299151670299
09/08/2021 10:29:53 £ 308.90 686 XLON 369299151671621
09/08/2021 10:41:51 £ 309.50 422 XLON 369299151672732
09/08/2021 10:41:51 £ 309.50 531 XLON 369299151672733
09/08/2021 10:58:27 £ 309.70 31 XLON 369299151674412
09/08/2021 10:58:27 £ 309.70 739 XLON 369299151674413
09/08/2021 11:11:19 £ 309.40 895 XLON 369299151675581
09/08/2021 11:20:58 £ 309.40 637 XLON 369299151676226
09/08/2021 11:31:33 £ 309.70 587 XLON 369299151677166
09/08/2021 11:41:06 £ 309.70 657 XLON 369299151677974
09/08/2021 11:52:52 £ 309.80 819 XLON 369299151678974
09/08/2021 12:01:00 £ 309.60 571 XLON 369299151679731
09/08/2021 12:10:05 £ 309.50 12 XLON 369299151680405
09/08/2021 12:11:46 £ 309.50 18 XLON 369299151680555
09/08/2021 12:15:04 £ 309.70 844 XLON 369299151680757
09/08/2021 12:25:38 £ 310.00 599 XLON 369299151681618
09/08/2021 12:49:15 £ 309.80 22 XLON 369299151683424
09/08/2021 12:49:15 £ 309.80 754 XLON 369299151683425
09/08/2021 12:49:15 £ 309.80 346 XLON 369299151683426
09/08/2021 12:49:15 £ 309.80 436 XLON 369299151683427
09/08/2021 13:01:10 £ 309.90 577 XLON 369299151684313
09/08/2021 13:04:27 £ 309.70 754 XLON 369299151684617
09/08/2021 13:21:47 £ 309.60 610 XLON 369299151686121
09/08/2021 13:34:13 £ 309.60 658 XLON 369299151687001
09/08/2021 13:46:07 £ 309.80 1,118 XLON 369299151688026
09/08/2021 14:14:05 £ 310.60 734 XLON 369299151690959
09/08/2021 14:14:05 £ 310.60 829 XLON 369299151690966
09/08/2021 14:23:08 £ 310.50 357 XLON 369299151692021
09/08/2021 14:23:08 £ 310.50 255 XLON 369299151692022
09/08/2021 14:32:04 £ 310.30 220 XLON 369299151694116
09/08/2021 14:32:49 £ 310.20 553 XLON 369299151694390
09/08/2021 14:38:27 £ 310.90 855 XLON 369299151696275
09/08/2021 14:47:00 £ 311.80 825 XLON 369299151698305
09/08/2021 14:52:12 £ 311.20 612 XLON 369299151699479
09/08/2021 14:59:32 £ 310.70 675 XLON 369299151701450
09/08/2021 15:06:03 £ 310.80 594 XLON 369299151703141
09/08/2021 15:13:30 £ 310.90 94 XLON 369299151704676
09/08/2021 15:13:30 £ 310.90 1,091 XLON 369299151704677
09/08/2021 15:25:02 £ 310.60 155 XLON 369299151706876
09/08/2021 15:25:02 £ 310.60 886 XLON 369299151706877
09/08/2021 15:38:42 £ 310.90 1,439 XLON 369299151710102
09/08/2021 15:44:42 £ 311.00 576 XLON 369299151711317
09/08/2021 15:53:48 £ 311.00 801 XLON 369299151713448
09/08/2021 16:01:53 £ 311.00 840 XLON 369299151715586
09/08/2021 16:14:35 £ 311.00 36 XLON 369299151718820
09/08/2021 16:14:35 £ 311.00 818 XLON 369299151718821
09/08/2021 16:18:58 £ 311.10 664 XLON 369299151720368

This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

-- ENDS--

Roger Clifton

Company Secretary

Telephone: +44 (0)1651 831 956

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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END

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