Transaction in Own Shares

Associated British Foods PLC
29 September 2023
 

29 September 2023

 

Associated British Foods plc

 

Transaction in own shares

 

Associated British Foods plc (the "Company") announces that on 29 September 2023 it purchased for cancellation from Credit Suisse International ("CS") the following number of its ordinary shares of 5 15/22 pence each pursuant to the authority granted by its shareholders as part of its share repurchase programme, details of which were announced on 9 November 2022 and 28 April 2023.

 

Description of shares:

 

Associated British Foods plc

Ordinary shares of 5 15/22 pence

Date of transaction:

 

29 September 2023

Number of shares repurchased:

 

57,577

Average price paid per share:

 

GBp 2,067.9938

Highest price paid per share:

 

GBp 2,073.0000

Lowest price paid per share:

 

GBp 2,061.0000

 

The Company intends to cancel these Shares.

 

All shares were purchased from CS as an on exchange transaction subject to the rules of the London Stock Exchange.

 

The table below contains detailed information of the individual trades made by CS as part of the buyback programme.

 

Schedule of purchases

Shares purchased:  Associated British Foods plc (ISIN: GB0006731235)

Date of purchases: 29 September 2023

Investment firm:  Credit Suisse International

 

Individual transactions:

Number of ordinary shares purchased

Transaction price per ordinary share (pence)

Time of transaction (London time)

Trading venue

Transaction reference Number

654

2062.0

08:00:25

XLON

F0000132Z75T0000

47

2062.0

08:00:25

XLON

F0000232Z75T0000

60

2061.0

08:00:54

XLON

F0000332Z75T0000

66

2061.0

08:00:54

XLON

F0000432Z75T0000

175

2067.0

08:03:31

XLON

F0000532Z75T0000

216

2068.0

08:04:55

XLON

F0000832Z75T0000

79

2068.0

08:04:55

XLON

F0000732Z75T0000

311

2068.0

08:04:55

XLON

F0000632Z75T0000

150

2065.0

08:06:43

XLON

F0000C32Z75T0000

400

2065.0

08:06:43

XLON

F0000B32Z75T0000

209

2071.0

08:08:47

XLON

F0000R32Z75T0000

181

2071.0

08:08:53

XLON

F0000S32Z75T0000

139

2071.0

08:10:45

XLON

F0000T32Z75T0000

183

2070.0

08:11:57

XLON

F0000V32Z75T0000

86

2073.0

08:26:54

XLON

F0001132Z75T0000

180

2072.0

08:26:55

XLON

F0001232Z75T0000

211

2073.0

08:29:13

XLON

F0001332Z75T0000

319

2073.0

08:32:49

XLON

F0001432Z75T0000

152

2073.0

08:43:08

XLON

F0002F32Z75T0000

40

2071.0

08:46:00

XLON

F0002H32Z75T0000

200

2071.0

08:46:00

XLON

F0002G32Z75T0000

76

2072.0

08:50:12

XLON

F0002I32Z75T0000

41

2072.0

08:55:18

XLON

F0002J32Z75T0000

86

2072.0

09:02:19

XLON

F0002K32Z75T0000

139

2072.0

09:02:20

XLON

F0002L32Z75T0000

7

2071.0

09:02:38

XLON

F0002M32Z75T0000

94

2070.0

09:03:27

XLON

F0002N32Z75T0000

8

2073.0

09:13:02

XLON

F0002O32Z75T0000

397

2072.0

09:15:44

XLON

F0002P32Z75T0000

147

2071.0

09:23:25

XLON

F0002Q32Z75T0000

283

2071.0

09:25:56

XLON

F0002R32Z75T0000

86

2073.0

09:33:23

XLON

F0002S32Z75T0000

143

2073.0

09:35:45

XLON

F0002T32Z75T0000

66

2073.0

09:35:45

XLON

F0002V32Z75T0000

93

2072.0

09:45:52

XLON

F0002U32Z75T0000

180

2072.0

09:48:00

XLON

F0002W32Z75T0000

26

2072.0

09:48:17

XLON

F0002X32Z75T0000

32

2071.0

09:49:14

XLON

F0002Y32Z75T0000

153

2072.0

09:49:46

XLON

F0003132Z75T0000

24

2072.0

09:49:46

XLON

F0003032Z75T0000

136

2072.0

09:49:46

XLON

F0002Z32Z75T0000

10

2070.0

09:53:27

XLON

F0003232Z75T0000

41

2070.0

09:59:57

XLON

F0003332Z75T0000

387

2069.0

10:02:23

XLON

F0003432Z75T0000

236

2069.0

10:02:23

XLON

F0003532Z75T0000

23

2069.0

10:02:23

XLON

F0003632Z75T0000

83

2070.0

10:02:24

XLON

F0003732Z75T0000

159

2073.0

10:02:55

XLON

F0003832Z75T0000

177

2073.0

10:02:55

XLON

F0003A32Z75T0000

141

2073.0

10:02:55

XLON

F0003932Z75T0000

202

2073.0

10:21:50

XLON

F0003B32Z75T0000

527

2073.0

10:21:50

XLON

F0003C32Z75T0000

75

2072.0

10:22:43

XLON

F0003D32Z75T0000

109

2073.0

10:23:47

XLON

F0003E32Z75T0000

26

2073.0

10:29:48

XLON

F0003F32Z75T0000

105

2072.0

10:31:01

XLON

F0003G32Z75T0000

238

2073.0

10:38:01

XLON

F0003H32Z75T0000

100

2073.0

10:46:00

XLON

F0003I32Z75T0000

80

2073.0

10:48:26

XLON

F0003J32Z75T0000

97

2072.0

10:49:21

XLON

F0003L32Z75T0000

162

2073.0

10:49:21

XLON

F0003K32Z75T0000

177

2071.0

10:49:27

XLON

F0003M32Z75T0000

5

2070.0

10:52:12

XLON

F0003N32Z75T0000

285

2069.0

10:52:13

XLON

F0003P32Z75T0000

120

2070.0

10:52:13

XLON

F0003Q32Z75T0000

23

2070.0

10:52:13

XLON

F0003R32Z75T0000

137

2070.0

10:52:13

XLON

F0003S32Z75T0000

200

2069.0

10:52:13

XLON

F0003O32Z75T0000

9

2069.0

10:52:44

XLON

F0003T32Z75T0000

169

2068.0

10:54:02

XLON

F0003V32Z75T0000

32

2068.0

10:54:02

XLON

F0003U32Z75T0000

200

2067.0

10:54:02

XLON

F0003W32Z75T0000

91

2067.0

10:54:02

XLON

F0003X32Z75T0000

141

2069.0

10:57:39

XLON

F0003Y32Z75T0000

108

2068.0

11:00:10

XLON

F0003Z32Z75T0000

150

2068.0

11:00:11

XLON

F0004132Z75T0000

37

2068.0

11:00:11

XLON

F0004032Z75T0000

224

2067.0

11:02:32

XLON

F0004232Z75T0000

99

2067.0

11:08:37

XLON

F0004332Z75T0000

158

2069.0

11:13:21

XLON

F0004432Z75T0000

82

2068.0

11:19:01

XLON

F0004532Z75T0000

131

2068.0

11:22:01

XLON

F0004632Z75T0000

59

2067.0

11:23:55

XLON

F0004932Z75T0000

42

2067.0

11:23:55

XLON

F0004832Z75T0000

124

2068.0

11:23:55

XLON

F0004732Z75T0000

55

2067.0

11:24:08

XLON

F0004A32Z75T0000

93

2067.0

11:24:09

XLON

F0004B32Z75T0000

77

2066.0

11:24:09

XLON

F0004C32Z75T0000

90

2066.0

11:24:10

XLON

F0004D32Z75T0000

18

2064.0

11:24:28

XLON

F0004E32Z75T0000

9

2064.0

11:24:28

XLON

F0004F32Z75T0000

31

2064.0

11:26:01

XLON

F0004G32Z75T0000

70

2064.0

11:26:01

XLON

F0004H32Z75T0000

240

2061.0

11:29:14

XLON

F0004I32Z75T0000

185

2065.0

11:31:30

XLON

F0004J32Z75T0000

83

2065.0

11:31:30

XLON

F0004K32Z75T0000

67

2064.0

11:33:29

XLON

F0004L32Z75T0000

65

2064.0

11:33:29

XLON

F0004M32Z75T0000

64

2064.0

11:33:29

XLON

F0004N32Z75T0000

25

2064.0

11:33:29

XLON

F0004P32Z75T0000

281

2064.0

11:33:29

XLON

F0004Q32Z75T0000

119

2064.0

11:33:29

XLON

F0004R32Z75T0000

14

2064.0

11:33:29

XLON

F0004S32Z75T0000

42

2064.0

11:33:29

XLON

F0004O32Z75T0000

80

2063.0

11:42:28

XLON

F0004T32Z75T0000

19

2064.0

11:45:17

XLON

F0004X32Z75T0000

175

2064.0

11:45:17

XLON

F0004W32Z75T0000

175

2064.0

11:45:17

XLON

F0004U32Z75T0000

1

2063.0

11:45:17

XLON

F0004V32Z75T0000

76

2064.0

11:45:17

XLON

F0004Y32Z75T0000

150

2064.0

11:45:17

XLON

F0004Z32Z75T0000

172

2064.0

11:45:20

XLON

F0005132Z75T0000

169

2064.0

11:45:20

XLON

F0005032Z75T0000

175

2065.0

11:46:06

XLON

F0005232Z75T0000

48

2065.0

11:46:06

XLON

F0005332Z75T0000

171

2065.0

11:46:09

XLON

F0005432Z75T0000

279

2065.0

11:46:09

XLON

F0005532Z75T0000

110

2063.0

11:50:42

XLON

F0005632Z75T0000

107

2063.0

11:50:42

XLON

F0005732Z75T0000

145

2063.0

11:56:26

XLON

F0005E32Z75T0000

140

2066.0

11:56:54

XLON

F0006B32Z75T0000

1

2066.0

11:56:54

XLON

F0006C32Z75T0000

219

2066.0

11:56:54

XLON

F0006D32Z75T0000

147

2066.0

11:56:54

XLON

F0006F32Z75T0000

219

2066.0

11:56:54

XLON

F0006E32Z75T0000

87

2066.0

11:59:28

XLON

F0007R32Z75T0000

131

2066.0

11:59:28

XLON

F0007Q32Z75T0000

159

2067.0

12:11:12

XLON

F000H532Z75T0000

136

2067.0

12:11:12

XLON

F000H432Z75T0000

131

2067.0

12:11:12

XLON

F000H332Z75T0000

129

2066.0

12:11:12

XLON

F000H232Z75T0000

200

2068.0

12:19:04

XLON

F000J032Z75T0000

77

2069.0

12:29:22

XLON

F000K832Z75T0000

47

2069.0

12:29:22

XLON

F000K732Z75T0000

193

2069.0

12:29:22

XLON

F000K932Z75T0000

94

2069.0

12:29:32

XLON

F000KB32Z75T0000

50

2069.0

12:29:32

XLON

F000KA32Z75T0000

89

2067.0

12:35:32

XLON

F000LE32Z75T0000

342

2068.0

12:42:55

XLON

F000MT32Z75T0000

103

2067.0

12:46:07

XLON

F000N432Z75T0000

81

2066.0

13:00:32

XLON

F000O332Z75T0000

96

2065.0

13:00:41

XLON

F000OW32Z75T0000

63

2067.0

13:07:32

XLON

F000P532Z75T0000

86

2067.0

13:12:18

XLON

F000P632Z75T0000

25

2066.0

13:16:57

XLON

F000PP32Z75T0000

230

2067.0

13:19:36

XLON

F000PQ32Z75T0000

12

2066.0

13:20:07

XLON

F000PR32Z75T0000

76

2066.0

13:22:18

XLON

F000Q432Z75T0000

31

2065.0

13:24:06

XLON

F000R132Z75T0000

1

2065.0

13:30:02

XLON

F000R632Z75T0000

465

2067.0

13:32:09

XLON

F000RJ32Z75T0000

163

2067.0

13:32:09

XLON

F000RK32Z75T0000

296

2063.0

13:35:20

XLON

F000RT32Z75T0000

684

2066.0

13:41:32

XLON

F000RW32Z75T0000

113

2066.0

13:51:09

XLON

F000SF32Z75T0000

136

2066.0

13:51:09

XLON

F000SE32Z75T0000

80

2066.0

13:51:09

XLON

F000SD32Z75T0000

53

2065.0

13:52:18

XLON

F000SQ32Z75T0000

86

2067.0

13:55:25

XLON

F000ST32Z75T0000

169

2068.0

16:35:01

XLON

H0019I32Z75U0000

698

2068.0

16:35:01

XLON

H0019G32Z75U0000

1143

2068.0

16:35:01

XLON

H0019J32Z75U0000

10465

2068.0

16:35:01

XLON

H0019D32Z75U0000

1480

2068.0

16:35:01

XLON

H0019C32Z75U0000

445

2068.0

16:35:01

XLON

H0019B32Z75U0000

19535

2068.0

16:35:01

XLON

H0019A32Z75U0000

267

2068.0

16:35:01

XLON

H0019932Z75U0000

943

2068.0

16:35:01

XLON

H0019832Z75U0000

1143

2068.0

16:35:01

XLON

H0019E32Z75U0000

82

2068.0

16:35:01

XLON

H0019F32Z75U0000

 

Contacts:

 

+44 (0) 20 7399 6500

 

Ray Cahill (Director of Corporate Governance)       

 

Paul Lister (Company Secretary)     

 

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 rns@lseg.com 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.
 
END
 
 
UK 100