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Vistry Group PLC

Transaction in Own Shares Jul 1, 2024

4771_rns_2024-07-01_228909ff-afe6-41a9-92f9-358809da0ebc.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 4395U

Vistry Group PLC

01 July 2024

01 July 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: 28/06/2024
Aggregate number of Ordinary Shares purchased: 16,790
Lowest price paid per share (GBp): 1179.00
Highest price paid per share (GBp): 1203.00
Volume weighted average price paid per share (GBp): 1190.7654

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 337,989,871 with 650,959 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,338,912. 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
193 1191.00 08:00:31 01079533407TRLO1 XLON
197 1190.00 08:06:56 01079536110TRLO1 XLON
195 1191.00 08:13:15 01079539779TRLO1 XLON
186 1189.00 08:13:21 01079539807TRLO1 XLON
123 1188.00 08:20:05 01079542007TRLO1 XLON
68 1188.00 08:20:05 01079542008TRLO1 XLON
203 1187.00 08:27:10 01079544332TRLO1 XLON
199 1192.00 08:47:21 01079549699TRLO1 XLON
200 1192.00 08:47:21 01079549700TRLO1 XLON
190 1193.00 08:58:00 01079552216TRLO1 XLON
1 1192.00 09:02:10 01079553387TRLO1 XLON
195 1192.00 09:02:10 01079553388TRLO1 XLON
188 1192.00 09:02:10 01079553389TRLO1 XLON
201 1192.00 09:18:43 01079557678TRLO1 XLON
184 1194.00 09:35:02 01079561500TRLO1 XLON
133 1194.00 09:38:08 01079562086TRLO1 XLON
17 1194.00 09:38:08 01079562087TRLO1 XLON
17 1194.00 09:38:08 01079562088TRLO1 XLON
35 1200.00 09:43:22 01079563540TRLO1 XLON
186 1200.00 09:43:22 01079563541TRLO1 XLON
193 1199.00 09:43:23 01079563547TRLO1 XLON
4 1199.00 09:47:34 01079564582TRLO1 XLON
197 1199.00 09:47:34 01079564583TRLO1 XLON
199 1199.00 09:47:34 01079564584TRLO1 XLON
7 1203.00 10:16:01 01079572705TRLO1 XLON
186 1203.00 10:16:01 01079572706TRLO1 XLON
193 1202.00 10:16:05 01079572749TRLO1 XLON
200 1200.00 10:22:46 01079574676TRLO1 XLON
195 1200.00 10:22:46 01079574677TRLO1 XLON
203 1201.00 10:31:12 01079576677TRLO1 XLON
194 1198.00 10:39:31 01079579142TRLO1 XLON
190 1198.00 10:55:31 01079583814TRLO1 XLON
203 1198.00 10:55:31 01079583815TRLO1 XLON
185 1198.00 10:59:11 01079584629TRLO1 XLON
199 1196.00 10:59:57 01079584950TRLO1 XLON
202 1195.00 11:03:40 01079586082TRLO1 XLON
198 1195.00 11:18:13 01079589214TRLO1 XLON
192 1195.00 11:18:13 01079589215TRLO1 XLON
201 1197.00 11:38:38 01079596183TRLO1 XLON
186 1196.00 11:39:28 01079596295TRLO1 XLON
185 1193.00 11:54:20 01079599486TRLO1 XLON
199 1193.00 11:54:20 01079599487TRLO1 XLON
193 1193.00 12:06:48 01079602202TRLO1 XLON
188 1195.00 12:20:42 01079604973TRLO1 XLON
197 1194.00 12:22:33 01079605315TRLO1 XLON
186 1193.00 12:27:51 01079606487TRLO1 XLON
194 1191.00 12:41:10 01079610382TRLO1 XLON
186 1191.00 12:41:10 01079610383TRLO1 XLON
193 1191.00 12:53:02 01079614004TRLO1 XLON
197 1191.00 12:53:02 01079614005TRLO1 XLON
197 1191.00 13:07:35 01079617292TRLO1 XLON
192 1191.00 13:07:35 01079617293TRLO1 XLON
188 1191.00 13:15:50 01079619046TRLO1 XLON
191 1190.00 13:17:00 01079619344TRLO1 XLON
201 1190.00 13:17:00 01079619345TRLO1 XLON
197 1188.00 13:24:25 01079621422TRLO1 XLON
136 1188.00 13:24:25 01079621424TRLO1 XLON
56 1188.00 13:24:25 01079621425TRLO1 XLON
193 1191.00 13:30:26 01079623430TRLO1 XLON
184 1188.00 13:31:02 01079623639TRLO1 XLON
191 1187.00 13:31:58 01079624293TRLO1 XLON
194 1189.00 13:36:17 01079625382TRLO1 XLON
202 1189.00 13:36:17 01079625384TRLO1 XLON
201 1190.00 13:48:57 01079629052TRLO1 XLON
198 1190.00 13:48:57 01079629053TRLO1 XLON
187 1187.00 13:59:57 01079632061TRLO1 XLON
184 1187.00 13:59:57 01079632062TRLO1 XLON
196 1188.00 14:04:17 01079633428TRLO1 XLON
184 1188.00 14:04:17 01079633430TRLO1 XLON
6 1190.00 14:17:05 01079639314TRLO1 XLON
186 1190.00 14:17:05 01079639315TRLO1 XLON
202 1190.00 14:17:05 01079639316TRLO1 XLON
189 1190.00 14:20:09 01079640514TRLO1 XLON
203 1187.00 14:34:51 01079653228TRLO1 XLON
199 1188.00 14:35:31 01079653812TRLO1 XLON
190 1188.00 14:37:35 01079655482TRLO1 XLON
86 1188.00 14:37:35 01079655483TRLO1 XLON
102 1188.00 14:37:35 01079655484TRLO1 XLON
184 1189.00 14:39:50 01079657509TRLO1 XLON
198 1188.00 14:42:27 01079659943TRLO1 XLON
185 1187.00 14:46:07 01079662707TRLO1 XLON
9 1183.00 14:49:28 01079665610TRLO1 XLON
178 1183.00 14:49:28 01079665611TRLO1 XLON
195 1185.00 14:51:31 01079667655TRLO1 XLON
203 1184.00 14:55:01 01079670252TRLO1 XLON
189 1184.00 14:58:48 01079673710TRLO1 XLON
190 1184.00 15:02:17 01079676862TRLO1 XLON
201 1184.00 15:03:05 01079677722TRLO1 XLON
198 1185.00 15:13:21 01079687376TRLO1 XLON
202 1185.00 15:16:57 01079690955TRLO1 XLON
192 1185.00 15:16:57 01079690963TRLO1 XLON
190 1185.00 15:16:57 01079690964TRLO1 XLON
185 1184.00 15:17:07 01079691181TRLO1 XLON
192 1184.00 15:17:07 01079691182TRLO1 XLON
187 1182.00 15:24:43 01079699300TRLO1 XLON
231 1179.00 15:50:49 01079738791TRLO1 XLON
290 1179.00 15:50:49 01079738793TRLO1 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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