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Vistry Group PLC

Transaction in Own Shares Jan 4, 2024

4771_rns_2024-01-04_1718ac9d-e6b2-448e-ab7e-9732563de2a7.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 5869Y

Vistry Group PLC

04 January 2024

04 January 2024

Vistry Group PLC

Transaction in own shares

Vistry Group PLC (the "Group"), announces that, in accordance with the terms of its share buyback programme announced on 11 December 2023 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through Numis Securities Limited.

Date of purchase: 03 January 2024
Aggregate number of Ordinary Shares purchased: 105,000
Lowest price paid per share (GBp): 893.00
Highest price paid per share (GBp): 908.50
Volume weighted average price paid per share (GBp): 897.2666

The purchased shares will be cancelled, following the cancellation of these shares, the number of Ordinary Shares in issue will be 346,682,534 with 1,369,171 shares held in Treasury. Therefore, the total voting rights in the Company will be 345,313,363. This figure for the total number of voting rights may be used by shareholders (and others with notification obligations) 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, the Company 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), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by Numis Securities Limited as part of the Share Buyback Programme.

Individual transactions

Number of ordinary shares purchased Transaction price

(GBp share)
Time of transaction Transaction reference number Trading venue
882 908.50 08:19:06 00068298660TRLO0 XLON
773 908.50 08:19:08 00068298663TRLO0 XLON
137 908.00 08:33:35 00068298978TRLO0 XLON
200 908.00 08:33:35 00068298979TRLO0 XLON
87 908.00 08:33:35 00068298980TRLO0 XLON
440 908.00 08:33:35 00068298981TRLO0 XLON
500 908.50 08:55:53 00068299476TRLO0 XLON
369 908.50 08:55:53 00068299477TRLO0 XLON
845 908.00 08:55:53 00068299478TRLO0 XLON
372 901.50 09:13:59 00068300023TRLO0 XLON
453 901.50 09:13:59 00068300024TRLO0 XLON
878 900.00 09:21:50 00068300233TRLO0 XLON
722 899.50 09:36:02 00068300526TRLO0 XLON
723 899.50 09:36:02 00068300527TRLO0 XLON
400 895.50 09:43:22 00068300799TRLO0 XLON
468 895.50 09:43:22 00068300800TRLO0 XLON
817 894.00 09:49:09 00068301021TRLO0 XLON
445 893.50 09:53:21 00068301200TRLO0 XLON
176 893.50 09:53:21 00068301201TRLO0 XLON
237 893.50 09:53:21 00068301202TRLO0 XLON
829 893.50 10:16:39 00068301821TRLO0 XLON
806 896.50 10:32:24 00068302213TRLO0 XLON
586 898.00 10:39:02 00068302287TRLO0 XLON
192 898.00 10:39:02 00068302288TRLO0 XLON
1010 900.00 10:50:15 00068302497TRLO0 XLON
14 900.00 10:50:15 00068302498TRLO0 XLON
376 900.00 10:50:31 00068302501TRLO0 XLON
960 900.00 10:50:31 00068302502TRLO0 XLON
422 900.00 10:52:32 00068302543TRLO0 XLON
52 900.00 10:52:32 00068302544TRLO0 XLON
440 899.00 10:59:15 00068302717TRLO0 XLON
52 899.00 10:59:15 00068302718TRLO0 XLON
805 899.00 11:02:52 00068302865TRLO0 XLON
760 897.50 11:06:16 00068302900TRLO0 XLON
801 900.00 11:15:54 00068303148TRLO0 XLON
756 900.00 11:15:54 00068303149TRLO0 XLON
843 900.00 11:15:54 00068303150TRLO0 XLON
52 900.00 11:15:54 00068303151TRLO0 XLON
204 898.50 11:18:25 00068303212TRLO0 XLON
102 898.50 11:18:55 00068303263TRLO0 XLON
40 898.50 11:19:56 00068303322TRLO0 XLON
500 898.50 11:19:56 00068303323TRLO0 XLON
102 898.50 11:19:56 00068303324TRLO0 XLON
115 898.50 11:19:56 00068303325TRLO0 XLON
189 898.50 11:19:56 00068303326TRLO0 XLON
52 898.50 11:19:56 00068303327TRLO0 XLON
764 897.50 11:20:23 00068303360TRLO0 XLON
783 897.50 11:25:04 00068303497TRLO0 XLON
303 896.50 11:31:30 00068303689TRLO0 XLON
5 896.50 11:31:30 00068303690TRLO0 XLON
447 896.50 11:31:30 00068303691TRLO0 XLON
300 895.00 11:58:20 00068304498TRLO0 XLON
417 895.00 11:58:20 00068304499TRLO0 XLON
415 895.00 11:58:20 00068304500TRLO0 XLON
53 895.00 11:58:20 00068304501TRLO0 XLON
468 895.00 11:58:20 00068304502TRLO0 XLON
764 894.00 11:58:37 00068304506TRLO0 XLON
842 895.50 12:01:42 00068304562TRLO0 XLON
752 895.00 12:13:31 00068304787TRLO0 XLON
395 894.00 12:19:51 00068304972TRLO0 XLON
300 894.00 12:19:51 00068304973TRLO0 XLON
91 894.00 12:19:51 00068304974TRLO0 XLON
725 893.50 12:27:40 00068305167TRLO0 XLON
835 893.00 12:34:51 00068305354TRLO0 XLON
172 894.00 13:06:18 00068305938TRLO0 XLON
10 895.00 13:07:07 00068305945TRLO0 XLON
503 895.50 13:16:10 00068306102TRLO0 XLON
86 896.50 13:19:37 00068306137TRLO0 XLON
657 896.50 13:19:37 00068306138TRLO0 XLON
1280 900.00 13:31:07 00068306310TRLO0 XLON
709 900.00 13:31:07 00068306311TRLO0 XLON
291 900.00 13:31:07 00068306312TRLO0 XLON
483 900.00 13:31:07 00068306313TRLO0 XLON
964 900.00 13:31:07 00068306314TRLO0 XLON
302 897.50 13:32:30 00068306349TRLO0 XLON
671 897.50 13:32:30 00068306350TRLO0 XLON
44 897.50 13:43:26 00068306572TRLO0 XLON
500 897.50 13:43:26 00068306573TRLO0 XLON
34 897.50 13:43:26 00068306574TRLO0 XLON
151 897.50 13:43:26 00068306575TRLO0 XLON
599 899.00 13:45:34 00068306634TRLO0 XLON
222 899.00 13:45:34 00068306635TRLO0 XLON
159 899.00 13:48:40 00068306689TRLO0 XLON
125 899.00 13:48:40 00068306690TRLO0 XLON
128 899.00 13:48:40 00068306691TRLO0 XLON
83 898.00 13:50:48 00068306770TRLO0 XLON
671 898.00 13:50:48 00068306771TRLO0 XLON
543 897.00 13:58:06 00068306894TRLO0 XLON
309 897.00 13:58:06 00068306895TRLO0 XLON
282 897.00 14:02:01 00068307024TRLO0 XLON
433 897.00 14:02:01 00068307025TRLO0 XLON
621 897.00 14:07:49 00068307167TRLO0 XLON
72 897.00 14:07:49 00068307168TRLO0 XLON
500 898.00 14:13:56 00068307366TRLO0 XLON
334 898.00 14:13:56 00068307367TRLO0 XLON
488 897.50 14:13:56 00068307368TRLO0 XLON
412 897.50 14:13:56 00068307369TRLO0 XLON
45 897.50 14:26:10 00068307661TRLO0 XLON
52 897.50 14:26:10 00068307662TRLO0 XLON
128 897.50 14:26:10 00068307663TRLO0 XLON
117 897.50 14:26:10 00068307664TRLO0 XLON
310 897.50 14:26:10 00068307665TRLO0 XLON
234 897.50 14:26:10 00068307666TRLO0 XLON
1070 901.00 14:31:30 00068307779TRLO0 XLON
732 900.50 14:31:40 00068307781TRLO0 XLON
837 900.00 14:32:39 00068307796TRLO0 XLON
488 899.50 14:33:02 00068307809TRLO0 XLON
559 899.50 14:33:02 00068307810TRLO0 XLON
140 899.00 14:33:21 00068307818TRLO0 XLON
159 899.00 14:33:21 00068307819TRLO0 XLON
25 899.00 14:33:21 00068307820TRLO0 XLON
500 898.50 14:33:32 00068307833TRLO0 XLON
25 898.50 14:33:32 00068307834TRLO0 XLON
237 898.50 14:33:32 00068307835TRLO0 XLON
29 896.50 14:40:11 00068308020TRLO0 XLON
736 899.00 14:42:40 00068308098TRLO0 XLON
726 898.50 14:43:28 00068308109TRLO0 XLON
138 898.00 14:43:53 00068308114TRLO0 XLON
35 898.00 14:43:53 00068308115TRLO0 XLON
99 898.00 14:43:53 00068308116TRLO0 XLON
407 898.50 14:44:53 00068308169TRLO0 XLON
299 898.50 14:44:53 00068308170TRLO0 XLON
21 898.00 14:45:00 00068308171TRLO0 XLON
465 898.00 14:45:00 00068308172TRLO0 XLON
477 898.00 14:45:00 00068308173TRLO0 XLON
309 898.00 14:45:00 00068308174TRLO0 XLON
54 898.50 14:50:20 00068308522TRLO0 XLON
755 898.50 14:50:20 00068308523TRLO0 XLON
150 898.50 14:50:20 00068308524TRLO0 XLON
128 898.50 14:50:20 00068308525TRLO0 XLON
819 899.50 14:53:16 00068308738TRLO0 XLON
150 899.00 14:53:16 00068308739TRLO0 XLON
176 898.50 14:55:02 00068308859TRLO0 XLON
500 898.50 14:55:02 00068308860TRLO0 XLON
129 898.50 14:55:02 00068308861TRLO0 XLON
792 898.00 14:55:03 00068308867TRLO0 XLON
60 896.50 14:57:10 00068309020TRLO0 XLON
688 896.50 14:57:10 00068309021TRLO0 XLON
840 896.50 15:01:13 00068309360TRLO0 XLON
7566 895.50 15:01:50 00068309416TRLO0 XLON
97 897.00 15:05:26 00068309649TRLO0 XLON
62 898.00 15:05:44 00068309671TRLO0 XLON
56 898.00 15:05:44 00068309672TRLO0 XLON
593 898.00 15:05:44 00068309673TRLO0 XLON
1110 898.00 15:05:56 00068309680TRLO0 XLON
6 898.00 15:05:56 00068309681TRLO0 XLON
1126 898.00 15:07:31 00068309789TRLO0 XLON
468 897.00 15:09:22 00068309854TRLO0 XLON
382 897.00 15:09:22 00068309855TRLO0 XLON
200 896.50 15:11:12 00068309965TRLO0 XLON
656 896.50 15:11:12 00068309969TRLO0 XLON
351 896.00 15:15:05 00068310125TRLO0 XLON
446 896.00 15:15:05 00068310126TRLO0 XLON
21 895.50 15:19:27 00068310331TRLO0 XLON
757 895.50 15:19:27 00068310332TRLO0 XLON
798 895.50 15:19:27 00068310337TRLO0 XLON
741 893.00 15:22:10 00068310534TRLO0 XLON
17434 895.50 15:24:31 00068310645TRLO0 XLON
194 895.50 15:28:01 00068310865TRLO0 XLON
500 895.50 15:28:01 00068310866TRLO0 XLON
62 895.50 15:28:01 00068310867TRLO0 XLON
779 896.50 15:31:22 00068311023TRLO0 XLON
42 895.50 15:32:44 00068311086TRLO0 XLON
819 895.50 15:32:44 00068311087TRLO0 XLON
146 895.50 15:32:44 00068311088TRLO0 XLON
52 895.50 15:32:44 00068311089TRLO0 XLON
517 895.50 15:32:44 00068311090TRLO0 XLON
208 895.00 15:39:55 00068311441TRLO0 XLON
455 895.00 15:40:28 00068311494TRLO0 XLON
98 895.00 15:40:28 00068311495TRLO0 XLON
204 895.00 15:40:28 00068311496TRLO0 XLON
557 895.00 15:40:28 00068311497TRLO0 XLON
93 895.00 15:40:28 00068311498TRLO0 XLON
500 895.50 15:46:06 00068311730TRLO0 XLON
363 895.50 15:46:06 00068311731TRLO0 XLON
52 895.50 15:46:06 00068311732TRLO0 XLON
500 894.50 15:47:55 00068311802TRLO0 XLON
204 894.50 15:47:55 00068311803TRLO0 XLON
158 894.50 15:53:49 00068312077TRLO0 XLON
546 894.50 15:53:49 00068312078TRLO0 XLON
52 894.50 15:53:49 00068312079TRLO0 XLON
778 895.00 15:57:50 00068312204TRLO0 XLON
596 895.00 15:57:50 00068312205TRLO0 XLON
786 895.50 16:00:22 00068312343TRLO0 XLON
868 896.00 16:05:00 00068312542TRLO0 XLON
861 896.00 16:08:00 00068312654TRLO0 XLON
789 895.50 16:10:42 00068312779TRLO0 XLON
525 895.50 16:10:44 00068312782TRLO0 XLON
86 895.50 16:11:10 00068312799TRLO0 XLON
95 895.50 16:11:10 00068312800TRLO0 XLON
125 895.50 16:14:20 00068313053TRLO0 XLON
27 895.50 16:14:20 00068313054TRLO0 XLON
842 896.00 16:16:40 00068313264TRLO0 XLON
849 895.50 16:18:21 00068313400TRLO0 XLON
266 895.50 16:21:03 00068313575TRLO0 XLON
415 895.50 16:21:03 00068313576TRLO0 XLON

This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

Vistry Group PLC

Clare Bates, General Counsel & Group Company Secretary
01675 437160

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