RNS Number : 7782S
Vistry Group PLC
18 June 2024
 

18 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:

17/06/2024

Aggregate number of Ordinary Shares purchased:

16,350

Lowest price paid per share (GBp):

1214.00

Highest price paid per share (GBp):

1231.00

Volume weighted average price paid per share (GBp):

1220.4185

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,139,426 with 656,188 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,483,238. 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

140

1222.00

08:01:17

01076429407TRLO1

XLON

96

1222.00

08:01:17

01076429408TRLO1

XLON

217

1227.00

08:20:09

01076432723TRLO1

XLON

236

1227.00

08:20:10

01076432724TRLO1

XLON

85

1231.00

08:40:09

01076435755TRLO1

XLON

141

1231.00

08:40:09

01076435756TRLO1

XLON

14

1229.00

08:42:58

01076436129TRLO1

XLON

210

1229.00

08:42:58

01076436130TRLO1

XLON

239

1228.00

08:45:10

01076436461TRLO1

XLON

225

1223.00

09:05:41

01076438796TRLO1

XLON

218

1223.00

09:06:09

01076438818TRLO1

XLON

223

1226.00

09:22:14

01076440469TRLO1

XLON

76

1219.00

09:31:21

01076442158TRLO1

XLON

149

1219.00

09:31:21

01076442160TRLO1

XLON

226

1221.00

09:33:11

01076442529TRLO1

XLON

218

1216.00

09:53:20

01076445992TRLO1

XLON

231

1215.00

09:59:27

01076446792TRLO1

XLON

35

1216.00

10:11:21

01076448560TRLO1

XLON

203

1216.00

10:18:02

01076449352TRLO1

XLON

177

1217.00

10:25:59

01076450242TRLO1

XLON

43

1217.00

10:26:00

01076450245TRLO1

XLON

47

1219.00

10:58:09

01076457469TRLO1

XLON

2

1219.00

10:58:09

01076457470TRLO1

XLON

6

1219.00

10:59:21

01076457802TRLO1

XLON

6

1219.00

10:59:21

01076457803TRLO1

XLON

173

1219.00

10:59:21

01076457804TRLO1

XLON

225

1219.00

10:59:21

01076457805TRLO1

XLON

226

1218.00

11:01:00

01076458105TRLO1

XLON

7

1218.00

11:01:00

01076458106TRLO1

XLON

212

1218.00

11:01:00

01076458107TRLO1

XLON

100

1217.00

11:04:25

01076458754TRLO1

XLON

122

1217.00

11:04:25

01076458755TRLO1

XLON

227

1214.00

11:20:05

01076462482TRLO1

XLON

218

1214.00

11:20:05

01076462483TRLO1

XLON

240

1214.00

11:30:38

01076464283TRLO1

XLON

233

1214.00

11:41:17

01076465765TRLO1

XLON

82

1218.00

12:04:09

01076468205TRLO1

XLON

136

1218.00

12:04:09

01076468206TRLO1

XLON

227

1218.00

12:04:09

01076468207TRLO1

XLON

126

1220.00

12:22:43

01076470039TRLO1

XLON

106

1220.00

12:22:43

01076470041TRLO1

XLON

236

1219.00

12:33:16

01076471571TRLO1

XLON

220

1223.00

12:46:40

01076472876TRLO1

XLON

236

1221.00

12:54:05

01076473625TRLO1

XLON

238

1220.00

13:02:43

01076474567TRLO1

XLON

92

1224.00

13:12:57

01076475610TRLO1

XLON

7

1224.00

13:12:57

01076475611TRLO1

XLON

121

1225.00

13:14:38

01076475740TRLO1

XLON

232

1225.00

13:17:06

01076476122TRLO1

XLON

231

1225.00

13:28:08

01076477231TRLO1

XLON

234

1224.00

13:32:08

01076477657TRLO1

XLON

234

1224.00

13:32:08

01076477658TRLO1

XLON

222

1222.00

13:34:20

01076477943TRLO1

XLON

11

1223.00

13:38:31

01076478512TRLO1

XLON

229

1223.00

13:48:40

01076479498TRLO1

XLON

224

1223.00

13:48:40

01076479499TRLO1

XLON

222

1223.00

13:57:48

01076480835TRLO1

XLON

232

1223.00

13:57:48

01076480837TRLO1

XLON

122

1224.00

14:11:27

01076482885TRLO1

XLON

114

1224.00

14:11:27

01076482887TRLO1

XLON

225

1224.00

14:11:27

01076482888TRLO1

XLON

33

1225.00

14:24:57

01076485000TRLO1

XLON

203

1225.00

14:24:57

01076485001TRLO1

XLON

217

1225.00

14:24:57

01076485002TRLO1

XLON

225

1223.00

14:32:25

01076490867TRLO1

XLON

229

1223.00

14:36:32

01076494530TRLO1

XLON

228

1221.00

14:38:51

01076496450TRLO1

XLON

237

1221.00

14:43:02

01076499840TRLO1

XLON

126

1218.00

14:52:05

01076508275TRLO1

XLON

90

1218.00

14:52:05

01076508276TRLO1

XLON

235

1217.00

14:53:22

01076509493TRLO1

XLON

516

1216.00

15:01:32

01076515359TRLO1

XLON

484

1216.00

15:01:32

01076515360TRLO1

XLON

1000

1215.00

15:04:07

01076516984TRLO1

XLON

1372

1220.00

15:39:46

01076539061TRLO1

XLON

1325

1221.00

15:54:24

01076546813TRLO1

XLON

25

1220.00

16:06:45

01076553694TRLO1

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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