Transaction in Own Shares

By

Regulatory News | 18 Nov, 2024

Updated : 07:01

RNS Number : 5123M
Vistry Group PLC
18 November 2024
 

18 November 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 12 September 2024 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through Numis Securities Limited ("Deutsche Numis").

Date of purchase:

15/11/2024

Aggregate number of Ordinary Shares purchased:

42,502

Lowest price paid per share (GBp):

694.50

Highest price paid per share (GBp):

717.50

Volume weighted average price paid per share (GBp):

705.8373

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 332,930,656 with 600,097 shares held in Treasury. Therefore, the total voting rights in the Company will be 332,330,559. 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 Deutsche Numis 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

369

713.00

 08:09:12

00072425675TRLO0

XLON

400

713.00

 08:09:19

00072425677TRLO0

XLON

43

713.00

 08:09:26

00072425678TRLO0

XLON

808

715.50

 08:18:25

00072425904TRLO0

XLON

443

714.50

 08:28:01

00072426235TRLO0

XLON

428

714.50

 08:28:01

00072426234TRLO0

XLON

842

714.50

 08:36:56

00072426526TRLO0

XLON

875

716.50

 08:57:36

00072427162TRLO0

XLON

867

717.50

 09:08:10

00072427486TRLO0

XLON

764

712.50

 09:21:34

00072427739TRLO0

XLON

386

712.50

 09:34:54

00072428096TRLO0

XLON

484

712.50

 09:34:54

00072428097TRLO0

XLON

600

711.50

 09:50:49

00072428773TRLO0

XLON

168

712.50

 10:03:21

00072429302TRLO0

XLON

310

712.50

 10:03:21

00072429301TRLO0

XLON

91

712.50

 10:03:21

00072429300TRLO0

XLON

611

711.50

 10:15:18

00072429719TRLO0

XLON

2777

711.50

 10:15:18

00072429718TRLO0

XLON

128

711.50

 10:15:18

00072429717TRLO0

XLON

170

711.50

 10:15:18

00072429716TRLO0

XLON

879

711.50

 10:15:18

00072429715TRLO0

XLON

986

711.50

 10:15:18

00072429714TRLO0

XLON

753

710.50

 10:16:36

00072429900TRLO0

XLON

867

709.00

 10:31:27

00072430246TRLO0

XLON

749

710.00

 10:48:51

00072430866TRLO0

XLON

491

710.00

 11:06:51

00072431269TRLO0

XLON

388

710.00

 11:06:51

00072431268TRLO0

XLON

799

708.00

 11:24:47

00072431916TRLO0

XLON

881

709.50

 11:41:01

00072432236TRLO0

XLON

860

706.50

 12:10:21

00072433233TRLO0

XLON

832

705.00

 12:22:35

00072433576TRLO0

XLON

862

707.50

 12:41:02

00072433913TRLO0

XLON

375

707.50

 12:50:37

00072434406TRLO0

XLON

375

707.50

 12:50:37

00072434405TRLO0

XLON

728

706.00

 13:03:40

00072434622TRLO0

XLON

746

704.50

 13:18:47

00072435123TRLO0

XLON

886

703.00

 13:29:59

00072435446TRLO0

XLON

895

701.00

 13:36:36

00072435596TRLO0

XLON

310

703.00

 13:47:20

00072435808TRLO0

XLON

86

703.00

 13:47:20

00072435807TRLO0

XLON

746

704.50

 13:54:41

00072435918TRLO0

XLON

749

705.00

 14:06:56

00072436142TRLO0

XLON

754

705.00

 14:23:47

00072436791TRLO0

XLON

764

704.50

 14:30:06

00072436944TRLO0

XLON

865

703.50

 14:37:03

00072437217TRLO0

XLON

733

703.50

 14:42:50

00072438099TRLO0

XLON

126

703.50

 14:42:50

00072438098TRLO0

XLON

737

700.00

 14:50:05

00072438603TRLO0

XLON

817

698.50

 15:00:37

00072439498TRLO0

XLON

815

698.00

 15:02:37

00072439651TRLO0

XLON

816

701.00

 15:10:50

00072440302TRLO0

XLON

34

702.50

 15:19:11

00072440732TRLO0

XLON

794

702.50

 15:19:11

00072440731TRLO0

XLON

870

702.00

 15:19:58

00072440780TRLO0

XLON

873

699.50

 15:29:03

00072441130TRLO0

XLON

779

697.50

 15:35:49

00072441490TRLO0

XLON

789

696.00

 15:42:46

00072441781TRLO0

XLON

873

695.00

 15:50:35

00072442085TRLO0

XLON

11

695.00

 15:50:35

00072442084TRLO0

XLON

327

695.00

 15:56:07

00072442205TRLO0

XLON

419

695.00

 15:56:07

00072442204TRLO0

XLON

826

694.50

 16:02:40

00072442525TRLO0

XLON

337

695.00

 16:07:58

00072442802TRLO0

XLON

470

695.00

 16:07:58

00072442801TRLO0

XLON

762

694.50

 16:09:20

00072442910TRLO0

XLON

602

696.00

 16:13:08

00072443115TRLO0

XLON

502

696.00

 16:15:44

00072443201TRLO0

XLON


This announcement is made in accordance with the requirements of UK Listing Rule 9.6.6.

Vistry Group PLC

Clare Bates, General Counsel & Group Company Secretary

 

 

 

01675 437160

 

 

 

 

 

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