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Petershill Partners PLC

Transaction in Own Shares Aug 8, 2023

5080_rns_2023-08-08_194c6c67-10f7-4f67-ab3a-3db70d101cb6.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 5638I

Petershill Partners PLC

08 August 2023

Transactions in own shares

Date of purchase: 07 August 2023

Aggregate number of ordinary shares purchased: 150,941

Lowest price paid per share GBp 167.00

Highest price per share GBp 171.80

Average price per share GBp 167.34

The company intends to cancel the purchased shares.

Since 17 May 2023, the Company has purchased 4,052,844 shares at a cost (including dealing and associated costs) of $8,369,840.57 (£6,578,874.29).

Following the above transaction, the company holds 0 of its ordinary shares in treasury and has 1,131,346,753 ordinary shares in issue (excluding treasury shares and any shares purchased by the Company through Merrill Lynch International which are yet to be cancelled).

Schedule of Purchases

Shares purchased: (ISIN: GB00BL9ZF303)

Date of purchases: 07 August 2023

Investment Firm: Merrill Lynch International

Enquiries to

Petershill Partners plc

Gurjit Kambo

Head of Investor Relations

+44 (0) 7454 750 709

Aggregate information:

Venue Volume-weighted average price (GBp) Aggregated volume Lowest price per share (GBp) Highest price per share (GBp)
London Stock Exchange 167.13 142,000 167.00 169.00
Cboe BXE 171.40 425 171.40 171.40
Cboe CXE 170.65 8,516 167.40 171.80
Aquis 0.00 0 0.00 0.00
Turquoise 0.00 0 0.00 0.00

The schedule accessible via the following link contains detailed and aggregated information of the individual trades made by Merrill Lynch International as part of the buyback programme:

Detailed Purchases:

Transaction Date Transaction Time Volume Price (GBp) Platform Transaction Reference Number
07-Aug-23 08:35:33 102 167.00 XLON 0XL7A00000000000346K6R
07-Aug-23 08:35:33 3900 167.00 XLON 0XL7A00000000000346K6P
07-Aug-23 08:35:33 4475 167.00 XLON 0XL7A00000000000346K6M
07-Aug-23 08:35:33 4938 167.00 XLON 0XL7A00000000000346K6O
07-Aug-23 08:35:33 5564 167.00 XLON 0XL7A00000000000346K6S
07-Aug-23 08:35:33 5694 167.00 XLON 0XL7A00000000000346K6Q
07-Aug-23 08:35:33 15165 167.00 XLON 0XL7A00000000000346K6N
07-Aug-23 08:35:38 5267 167.00 XLON 0XL7A00000000000346K72
07-Aug-23 08:35:38 5746 167.00 XLON 0XL7A00000000000346K6V
07-Aug-23 08:35:38 6768 167.00 XLON 0XL7A00000000000346K71
07-Aug-23 08:35:38 18324 167.00 XLON 0XL7A00000000000346K70
07-Aug-23 08:35:42 5078 167.00 XLON 0XL7A00000000000346K73
07-Aug-23 08:35:42 12141 167.00 XLON 0XL7A00000000000346K74
07-Aug-23 08:35:46 994 167.20 XLON 0XL7A00000000000346K7H
07-Aug-23 08:35:46 4948 167.20 XLON 0XL7A00000000000346K7E
07-Aug-23 08:35:46 7121 167.20 XLON 0XL7A00000000000346K7G
07-Aug-23 08:35:46 11281 167.20 XLON 0XL7A00000000000346K7F
07-Aug-23 08:36:34 819 167.20 XLON 0XL7A00000000000346K88
07-Aug-23 08:36:34 947 167.20 XLON 0XL7A00000000000346K8B
07-Aug-23 08:36:34 3110 167.20 XLON 0XL7A00000000000346K8A
07-Aug-23 08:36:34 14548 167.20 XLON 0XL7A00000000000346K89
07-Aug-23 10:15:26 147 167.40 CHIX 0XL7100000000000346NME
07-Aug-23 15:01:33 270 168.80 XLON 0XL7A000000000003470VG
07-Aug-23 15:01:33 516 168.80 XLON 0XL7A000000000003470VI
07-Aug-23 15:01:33 556 168.80 XLON 0XL7A000000000003470VF
07-Aug-23 15:01:33 786 168.80 XLON 0XL7A000000000003470VE
07-Aug-23 15:01:33 1019 168.80 XLON 0XL7A000000000003470VH
07-Aug-23 15:01:33 1923 169.00 XLON 0XL7A000000000003470VD
07-Aug-23 15:03:23 267 169.20 CHIX 0XL71000000000003470JP
07-Aug-23 15:03:23 361 169.20 CHIX 0XL71000000000003470JO
07-Aug-23 15:03:23 548 169.20 CHIX 0XL71000000000003470JQ
07-Aug-23 15:10:11 490 169.40 CHIX 0XL7100000000000347125
07-Aug-23 15:29:00 279 170.40 CHIX 0XL710000000000034727I
07-Aug-23 15:35:26 236 170.40 CHIX 0XL71000000000003472MP
07-Aug-23 15:35:26 760 170.40 CHIX 0XL71000000000003472MQ
07-Aug-23 15:44:53 251 170.40 CHIX 0XL71000000000003473BO
07-Aug-23 15:59:54 20 170.80 CHIX 0XL71000000000003474HR
07-Aug-23 15:59:54 759 170.80 CHIX 0XL71000000000003474HS
07-Aug-23 16:13:50 193 171.60 CHIX 0XL71000000000003475LC
07-Aug-23 16:18:42 258 171.80 CHIX 0XL710000000000034761L
07-Aug-23 16:22:11 191 171.80 CHIX 0XL71000000000003476C4
07-Aug-23 16:25:21 2181 171.20 CHIX 0XL71000000000003476LG
07-Aug-23 16:28:08 125 171.40 CHIX 0XL71000000000003476S5
07-Aug-23 16:29:53 295 171.40 BATE 0XL7700000000000347923
07-Aug-23 16:29:54 130 171.40 BATE 0XL7700000000000347927
07-Aug-23 16:29:54 348 171.40 CHIX 0XL7100000000000347724
07-Aug-23 16:29:54 418 171.40 CHIX 0XL7100000000000347725
07-Aug-23 16:29:54 684 171.40 CHIX 0XL7100000000000347726

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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