RNS Number : 8512U
Vistry Group PLC
28 January 2025
 

28 January 2025

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:

27/01/2025

Aggregate number of Ordinary Shares purchased:

49,960

Lowest price paid per share (GBp):

593.00

Highest price paid per share (GBp):

603.00

Volume weighted average price paid per share (GBp):

600.3002

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 331,051,592 with 600,097 shares held in Treasury. Therefore, the total voting rights in the Company will be 330,451,495. 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

1249

600.00

 11:40:40

00073308074TRLO0

XLON

1121

601.00

 12:28:01

00073309212TRLO0

XLON

1176

600.50

 12:43:30

00073309522TRLO0

XLON

1079

596.50

 13:08:21

00073310587TRLO0

XLON

463

593.50

 13:26:42

00073311519TRLO0

XLON

739

593.50

 13:26:42

00073311520TRLO0

XLON

1080

593.00

 13:28:24

00073311575TRLO0

XLON

1236

594.00

 13:51:45

00073312288TRLO0

XLON

1141

595.00

 13:53:06

00073312320TRLO0

XLON

159

596.50

 14:04:17

00073312799TRLO0

XLON

1136

596.50

 14:04:17

00073312798TRLO0

XLON

1092

595.50

 14:29:00

00073313385TRLO0

XLON

1299

596.00

 14:30:46

00073313575TRLO0

XLON

1196

597.50

 14:34:51

00073313798TRLO0

XLON

1140

597.50

 14:34:51

00073313799TRLO0

XLON

1322

602.50

 14:47:19

00073314531TRLO0

XLON

854

602.00

 14:50:01

00073314618TRLO0

XLON

45

602.00

 14:50:01

00073314617TRLO0

XLON

614

602.00

 14:50:01

00073314616TRLO0

XLON

1080

602.50

 14:55:51

00073315011TRLO0

XLON

1247

601.50

 14:55:55

00073315030TRLO0

XLON

87

602.00

 14:55:55

00073315038TRLO0

XLON

536

602.00

 14:55:55

00073315036TRLO0

XLON

62

602.00

 14:55:55

00073315034TRLO0

XLON

1070

602.00

 14:55:55

00073315032TRLO0

XLON

1336

603.00

 15:06:02

00073316034TRLO0

XLON

1670

602.50

 15:07:03

00073316071TRLO0

XLON

1710

601.50

 15:08:19

00073316142TRLO0

XLON

2

601.50

 15:10:20

00073316277TRLO0

XLON

1312

601.00

 15:14:06

00073316534TRLO0

XLON

389

601.50

 15:14:06

00073316536TRLO0

XLON

700

601.50

 15:14:06

00073316535TRLO0

XLON

233

600.50

 15:14:34

00073316545TRLO0

XLON

980

600.50

 15:15:19

00073316635TRLO0

XLON

90

601.50

 15:21:00

00073316903TRLO0

XLON

145

601.50

 15:21:00

00073316902TRLO0

XLON

157

601.50

 15:21:13

00073316912TRLO0

XLON

1340

602.50

 15:23:40

00073317150TRLO0

XLON

2302

602.50

 15:23:49

00073317154TRLO0

XLON

500

602.50

 15:24:09

00073317162TRLO0

XLON

500

602.50

 15:25:10

00073317185TRLO0

XLON

149

602.50

 15:25:25

00073317234TRLO0

XLON

500

602.50

 15:25:25

00073317233TRLO0

XLON

500

602.00

 15:27:01

00073317339TRLO0

XLON

1127

602.00

 15:29:21

00073317430TRLO0

XLON

633

603.00

 15:31:50

00073317697TRLO0

XLON

600

603.00

 15:31:50

00073317696TRLO0

XLON

682

603.00

 15:31:50

00073317695TRLO0

XLON

416

603.00

 15:33:07

00073317800TRLO0

XLON

600

603.00

 15:33:07

00073317799TRLO0

XLON

127

603.00

 15:33:07

00073317798TRLO0

XLON

185

601.00

 15:36:18

00073318047TRLO0

XLON

91

601.50

 15:38:48

00073318144TRLO0

XLON

500

601.50

 15:38:48

00073318143TRLO0

XLON

1284

602.00

 15:41:50

00073318358TRLO0

XLON

45

602.00

 15:41:50

00073318359TRLO0

XLON

500

602.50

 15:43:59

00073318491TRLO0

XLON

1160

602.00

 15:44:18

00073318508TRLO0

XLON

373

602.50

 15:44:18

00073318513TRLO0

XLON

116

602.50

 15:44:18

00073318512TRLO0

XLON

178

602.50

 15:44:18

00073318511TRLO0

XLON

149

602.50

 15:44:18

00073318510TRLO0

XLON

500

602.50

 15:44:18

00073318509TRLO0

XLON

1214

601.00

 15:50:21

00073318771TRLO0

XLON

744

600.00

 15:54:42

00073319093TRLO0

XLON

560

600.00

 15:54:42

00073319092TRLO0

XLON

478

599.50

 15:54:53

00073319101TRLO0

XLON

960

599.50

 15:56:44

00073319244TRLO0

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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