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WPP PLC

Transaction in Own Shares Feb 10, 2022

6184_rns_2022-02-10_a4f77f11-fa1f-49f3-bec4-49d11a2d009f.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 2215B

WPP PLC

10 February 2022

WPP plc

ISIN: JE00B8KF9B49

10 February 2022

WPP plc (the "Company")

Transaction in Own Shares

The Company announces that on 09 February 2022 it had purchased a total of 8,349 of its ordinary shares of £0.10 each (the "ordinary shares") on the London Stock Exchange, Chi-X Europe, BATS Europe, and Turquoise, through the Company's broker Citigroup Global Markets Limited as detailed below. The repurchased shares will be cancelled.

London Stock Exchange BATS Europe Chi-X Europe Turquoise
Number of ordinary shares purchased 8,349 0 0 0
Highest price paid (per ordinary share) GBp 1,200.00 0 0 0
Lowest price paid (per ordinary share) GBp 1,198.00 0 0 0
Volume weighted average price paid (per ordinary share) GBp 1,199.42 0 0 0

The purchases form part of the Company's share buyback programme announced on 16 December 2021.

Following settlement of the above purchases and cancellation of the purchased ordinary shares, the Company's total number of ordinary shares in issue shall be 1,214,005,269 ordinary shares.

Following the above purchases, the Company holds 70,489,953 ordinary shares in treasury, which do not carry voting rights, therefore total voting rights are 1,143,515,316 ordinary shares.

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), the detailed breakdown of individual trades made by Citigroup Global Markets Limited on behalf of the Company as part of the share buyback programme is set out below.

This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

LEI number of WPP plc: 549300LSGBXPYHXGDT93

Schedule of Purchases - Individual Transactions

Issuer Name WPP plc
LEI 549300LSGBXPYHXGDT93
ISIN JE00B8KF9B49
Intermediary Name Citigroup Global Markets Limited
Intermediary Code SBILGB2L
Timezone GMT
Currency GBp
Number of Shares Price Per Share (GBp) Trading Venue Date of Transaction Time of Transaction Transaction Reference Number
416 1200.00 XLON 09/02/2022 09:25:17 xZKAnst6Nzc
276 1199.00 XLON 09/02/2022 09:21:46 xZKAnst6Luu
245 1199.50 XLON 09/02/2022 09:20:53 xZKAnst6Ii4
298 1199.50 XLON 09/02/2022 09:20:22 xZKAnst6Izv
319 1199.50 XLON 09/02/2022 09:18:47 xZKAnst6Jgw
231 1200.00 XLON 09/02/2022 09:03:40 xZKAnst6R64
201 1200.00 XLON 09/02/2022 09:03:40 xZKAnst6R66
270 1200.00 XLON 09/02/2022 08:51:55 xZKAnst65IB
142 1199.00 XLON 09/02/2022 08:48:25 xZKAnst63UZ
41 1199.00 XLON 09/02/2022 08:48:25 xZKAnst63Ub
208 1199.50 XLON 09/02/2022 08:46:48 xZKAnst60VC
169 1199.50 XLON 09/02/2022 08:44:57 xZKAnst6Eaf
76 1199.50 XLON 09/02/2022 08:44:57 xZKAnst6Eah
308 1198.00 XLON 09/02/2022 08:41:24 xZKAnst6Cqj
68 1198.50 XLON 09/02/2022 08:38:04 xZKAnst6A6b
184 1199.00 XLON 09/02/2022 08:38:03 xZKAnst6A6p
184 1199.50 XLON 09/02/2022 08:38:01 xZKAnst6A1N
267 1200.00 XLON 09/02/2022 08:35:52 xZKAnst6BJR
1126 1200.00 XLON 09/02/2022 08:35:28 xZKAnst68cj
191 1200.00 XLON 09/02/2022 08:30:01 xZKAnst7tCd
277 1200.00 XLON 09/02/2022 08:30:00 xZKAnst7tC4
300 1199.00 XLON 09/02/2022 08:17:11 xZKAnst7$0G
79 1199.00 XLON 09/02/2022 08:16:52 xZKAnst7$Jw
156 1199.00 XLON 09/02/2022 08:16:52 xZKAnst7$J0
53 1199.00 XLON 09/02/2022 08:16:52 xZKAnst7$Jy
350 1199.00 XLON 09/02/2022 08:16:52 xZKAnst7$J@
440 1199.00 XLON 09/02/2022 08:16:52 xZKAnst7$J2
245 1198.50 XLON 09/02/2022 08:16:52 xZKAnst7$JD
245 1198.00 XLON 09/02/2022 08:14:56 xZKAnst7zjk
326 1200.00 XLON 09/02/2022 08:08:28 xZKAnst7c@c
30 1199.50 XLON 09/02/2022 08:02:16 xZKAnst7ZER
228 1199.50 XLON 09/02/2022 08:02:16 xZKAnst7ZET
105 1199.00 XLON 09/02/2022 08:02:11 xZKAnst7ZMP
295 1199.00 XLON 09/02/2022 08:01:56 xZKAnst7WtV

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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