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Vistry Group PLC

Transaction in Own Shares Jun 14, 2024

4771_rns_2024-06-14_a158c739-ed0f-4494-b604-679ccee471d4.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 3850S

Vistry Group PLC

14 June 2024

14 June 2024

Vistry Group PLC

Transaction in own shares

Vistry Group PLC (the "Company"), announces that, in accordance with the terms of its share buyback programme announced on 18 April 2024 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through HSBC Bank plc ("HSBC").

Date of purchase: 13/06/2024
Aggregate number of Ordinary Shares purchased: 16,000
Lowest price paid per share (GBp): 1239.00
Highest price paid per share (GBp): 1266.00
Volume weighted average price paid per share (GBp): 1248.4819

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,169,443 with 669,966 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,499,477. 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 HSBC as part of the Share Buyback Programme.

Individual transactions:

Number of ordinary shares purchased Transaction price (GBp share) Time of transaction (UK Time) Transaction reference number Trading venue
230 1266.00 08:03:22 01075654674TRLO1 XLON
229 1261.00 08:09:10 01075657341TRLO1 XLON
242 1258.00 08:22:36 01075662893TRLO1 XLON
235 1253.00 08:34:36 01075667984TRLO1 XLON
232 1253.00 08:56:46 01075675764TRLO1 XLON
227 1253.00 08:56:46 01075675765TRLO1 XLON
223 1252.00 09:09:22 01075679819TRLO1 XLON
224 1252.00 09:09:22 01075679820TRLO1 XLON
245 1253.00 09:26:40 01075685993TRLO1 XLON
15 1250.00 09:29:01 01075686685TRLO1 XLON
218 1250.00 09:29:01 01075686687TRLO1 XLON
233 1248.00 09:43:05 01075690556TRLO1 XLON
2 1247.00 09:48:11 01075692179TRLO1 XLON
238 1247.00 09:48:44 01075692299TRLO1 XLON
6 1249.00 10:08:42 01075698347TRLO1 XLON
231 1249.00 10:08:42 01075698348TRLO1 XLON
239 1247.00 10:24:04 01075702936TRLO1 XLON
234 1245.00 10:30:54 01075704694TRLO1 XLON
244 1248.00 10:51:13 01075711215TRLO1 XLON
245 1248.00 10:51:13 01075711216TRLO1 XLON
242 1249.00 11:10:00 01075716401TRLO1 XLON
241 1249.00 11:10:00 01075716402TRLO1 XLON
240 1253.00 11:30:09 01075722047TRLO1 XLON
238 1258.00 11:48:01 01075726630TRLO1 XLON
242 1257.00 11:55:02 01075729721TRLO1 XLON
245 1254.00 12:15:36 01075736122TRLO1 XLON
235 1245.00 12:25:31 01075739538TRLO1 XLON
240 1242.00 12:38:49 01075743754TRLO1 XLON
241 1245.00 12:51:56 01075748501TRLO1 XLON
4 1244.00 13:05:31 01075753084TRLO1 XLON
228 1244.00 13:05:31 01075753085TRLO1 XLON
6 1246.00 13:23:27 01075759705TRLO1 XLON
231 1253.00 13:30:59 01075762451TRLO1 XLON
227 1253.00 13:30:59 01075762452TRLO1 XLON
242 1254.00 13:30:59 01075762453TRLO1 XLON
14 1252.00 13:31:07 01075762558TRLO1 XLON
217 1252.00 13:31:07 01075762559TRLO1 XLON
185 1252.00 13:31:07 01075762560TRLO1 XLON
54 1252.00 13:31:07 01075762561TRLO1 XLON
229 1255.00 13:41:24 01075766532TRLO1 XLON
227 1255.00 13:41:24 01075766533TRLO1 XLON
236 1256.00 13:46:25 01075768740TRLO1 XLON
236 1257.00 13:56:23 01075773015TRLO1 XLON
233 1254.00 13:57:25 01075773473TRLO1 XLON
238 1252.00 14:09:33 01075777919TRLO1 XLON
242 1251.00 14:18:19 01075781144TRLO1 XLON
38 1251.00 14:25:42 01075783836TRLO1 XLON
184 1251.00 14:25:42 01075783837TRLO1 XLON
6 1245.00 14:35:47 01075796568TRLO1 XLON
232 1245.00 14:35:47 01075796569TRLO1 XLON
226 1245.00 14:35:47 01075796570TRLO1 XLON
223 1246.00 14:41:59 01075803580TRLO1 XLON
242 1246.00 14:41:59 01075803581TRLO1 XLON
233 1244.00 14:49:48 01075813230TRLO1 XLON
242 1244.00 14:49:48 01075813231TRLO1 XLON
207 1241.00 14:58:31 01075822164TRLO1 XLON
19 1241.00 14:58:31 01075822165TRLO1 XLON
244 1241.00 14:58:31 01075822166TRLO1 XLON
231 1242.00 15:05:08 01075829256TRLO1 XLON
225 1246.00 15:08:20 01075832302TRLO1 XLON
3 1245.00 15:12:02 01075835541TRLO1 XLON
241 1245.00 15:12:02 01075835543TRLO1 XLON
237 1245.00 15:17:13 01075840808TRLO1 XLON
225 1244.00 15:20:16 01075845286TRLO1 XLON
125 1245.00 15:26:29 01075853276TRLO1 XLON
113 1245.00 15:26:29 01075853278TRLO1 XLON
233 1245.00 15:26:29 01075853279TRLO1 XLON
225 1246.00 15:31:14 01075858256TRLO1 XLON
227 1246.00 15:31:14 01075858258TRLO1 XLON
10 1246.00 15:42:04 01075870424TRLO1 XLON
220 1246.00 15:42:04 01075870425TRLO1 XLON
238 1246.00 15:42:05 01075870426TRLO1 XLON
238 1245.00 15:42:10 01075870530TRLO1 XLON
227 1244.00 15:48:32 01075875621TRLO1 XLON
234 1242.00 15:54:17 01075879889TRLO1 XLON
230 1242.00 15:54:17 01075879892TRLO1 XLON
304 1241.00 16:13:29 01075896856TRLO1 XLON
6 1241.00 16:13:29 01075896857TRLO1 XLON
690 1241.00 16:13:29 01075896858TRLO1 XLON
217 1239.00 16:20:40 01075903596TRLO1 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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