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Petershill Partners PLC

Transaction in Own Shares Sep 18, 2023

5080_rns_2023-09-18_920e8cb5-ff80-4907-be9f-941fa6bd40ff.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 6746M

Petershill Partners PLC

18 September 2023

Transactions in own shares

Date of purchase: 15 September 2023

Aggregate number of ordinary shares purchased: 36,937

Lowest price paid per share GBp 157.00

Highest price per share GBp 160.00

Average price per share GBp 158.74

The company intends to cancel the purchased shares.

Since 17 May 2023, the Company has purchased 6,634,011 shares at a cost (including dealing and associated costs) of $13,844,689.91 (£10,916,892.81).

Following the above transaction, the company holds 0 of its ordinary shares in treasury and has 1,128,765,586 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: 15 September 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 158.77 16,879 157.00 160.00
Cboe BXE 159.42 8,920 157.20 160.00
Cboe CXE 158.15 11,138 157.20 160.00
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
15-Sep-23 10:00:00 1028 157.00 XLON 0XL7400000000000DDPKQ3
15-Sep-23 10:09:18 1091 158.00 XLON 0XL7400000000000DDPLAF
15-Sep-23 10:19:06 130 157.20 XLON 0XL7400000000000DDPLSP
15-Sep-23 10:19:06 1358 157.20 XLON 0XL7400000000000DDPLSQ
15-Sep-23 10:47:03 808 157.40 BATE 0XL7400000000000DDPMUS
15-Sep-23 12:33:16 184 157.40 BATE 0XL7400000000000DDPTBE
15-Sep-23 12:42:44 118 157.40 BATE 0XL7400000000000DDPTM6
15-Sep-23 13:14:30 332 157.40 BATE 0XL7400000000000DDPUST
15-Sep-23 13:24:08 850 157.40 CHIX 0XL7A00000000000DDPVF4
15-Sep-23 14:04:38 127 157.20 BATE 0XL7400000000000DDQ1F7
15-Sep-23 14:04:41 670 157.40 CHIX 0XL7A00000000000DDQ1IF
15-Sep-23 14:04:41 1050 157.40 CHIX 0XL7A00000000000DDQ1IG
15-Sep-23 14:04:43 301 157.40 XLON 0XL7400000000000DDQ1FB
15-Sep-23 14:04:43 430 157.40 XLON 0XL7400000000000DDQ1FC
15-Sep-23 14:04:47 188 157.40 XLON 0XL7400000000000DDQ1FF
15-Sep-23 14:22:42 41 157.20 BATE 0XL7400000000000DDQ2H3
15-Sep-23 14:22:42 99 157.20 BATE 0XL7400000000000DDQ2H2
15-Sep-23 14:22:42 240 157.20 BATE 0XL7400000000000DDQ2H4
15-Sep-23 14:22:42 286 157.20 CHIX 0XL7A00000000000DDQ2LB
15-Sep-23 14:22:42 890 157.20 CHIX 0XL7A00000000000DDQ2LA
15-Sep-23 14:22:42 3800 157.20 CHIX 0XL7A00000000000DDQ2L9
15-Sep-23 14:24:23 2376 157.40 XLON 0XL7400000000000DDQ2KC
15-Sep-23 14:55:11 580 159.60 XLON 0XL7400000000000DDQ5J2
15-Sep-23 14:55:11 6532 159.60 XLON 0XL7400000000000DDQ5J1
15-Sep-23 15:57:42 15 160.00 XLON 0XL7400000000000DDQC7I
15-Sep-23 15:57:42 155 160.00 XLON 0XL7400000000000DDQC7H
15-Sep-23 15:57:42 372 160.00 XLON 0XL7400000000000DDQC7G
15-Sep-23 15:57:42 1807 160.00 BATE 0XL7400000000000DDQC7E
15-Sep-23 15:57:42 2318 160.00 XLON 0XL7400000000000DDQC7F
15-Sep-23 15:59:28 1643 160.00 CHIX 0XL7A00000000000DDQCAU
15-Sep-23 15:59:43 1456 160.00 BATE 0XL7400000000000DDQCF2
15-Sep-23 16:07:37 1062 160.00 CHIX 0XL7A00000000000DDQD4U
15-Sep-23 16:10:23 1716 160.00 BATE 0XL7400000000000DDQDCO
15-Sep-23 16:23:45 1992 160.00 BATE 0XL7400000000000DDQETN
15-Sep-23 16:29:40 887 160.00 CHIX 0XL7A00000000000DDQFCA
15-Sep-23 16:29:56 5 160.00 XLON 0XL7400000000000DDQFPG

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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