Transaction in Own Shares

RNS Number : 8536L
Lookers PLC
24 April 2018
 

 

Lookers plc

 

Transaction in own shares

Lookers plc (the ''Company'') announces that on 23 April 2018 it purchased for cancellation the following number of its ordinary shares of 5 pence each pursuant to its share repurchase programme, details of which were announced on 7th March 2018.

Description of shares: Lookers plc - ordinary shares of 5 pence

Number of shares repurchased:

75,000

Date of transaction:

23/04/2018

Average price paid per share:

95.9831p

Lowest price paid per share:

95.80p

Highest price paid per share:

96.00p

 

 

Broker: Numis Securities Limited

 

The Repurchased Shares will be cancelled. Following the cancellation of the Repurchased Shares, the total number of ordinary shares with voting rights will be 395,535,190. The figure of 395,535,190 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 Disclosure and Transparency Rules.

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), detailed information about the individual purchases is attached to this announcement.

 

Enquiries:

Glenda MacGeekie

Company Secretary

0161 291 0043

 

Individual transactions:

 

 

Number of shares
purchased

Transaction price
(pence per share)

Time of transaction

Venue

TRN

1107

96

09:14:42

XLON

00035410888TRLO1

1956

96

09:14:42

XLON

00035410892TRLO1

1802

96

09:14:42

XLON

00035410895TRLO1

1775

96

09:14:42

XLON

00035410897TRLO1

2395

95.8

09:14:42

XLON

00035410893TRLO1

2325

95.8

09:14:42

XLON

00035410896TRLO1

1600

95.8

09:14:42

XLON

00035410899TRLO1

1224

96

13:44:33

XLON

00035417113TRLO1

10582

96

13:44:33

XLON

00035417115TRLO1

8845

96

13:44:33

XLON

00035417117TRLO1

1877

96

13:44:33

XLON

00035417118TRLO1

7081

96

13:44:33

XLON

00035417119TRLO1

953

96

14:36:29

XLON

00035418527TRLO1

795

96

14:36:29

XLON

00035418529TRLO1

831

96

14:36:29

XLON

00035418530TRLO1

823

96

14:36:29

XLON

00035418531TRLO1

5847

96

14:36:45

XLON

00035418548TRLO1

865

96

15:44:11

XLON

00035421076TRLO1

867

96

15:44:11

XLON

00035421077TRLO1

929

96

15:44:11

XLON

00035421078TRLO1

947

96

15:44:11

XLON

00035421079TRLO1

901

96

15:44:11

XLON

00035421080TRLO1

876

96

15:44:11

XLON

00035421081TRLO1

814

96

15:44:11

XLON

00035421082TRLO1

907

96

15:44:11

XLON

00035421083TRLO1

930

96

15:44:11

XLON

00035421084TRLO1

833

96

16:14:41

XLON

00035422479TRLO1

966

96

16:14:41

XLON

00035422480TRLO1

796

96

16:14:41

XLON

00035422481TRLO1

980

96

16:14:41

XLON

00035422482TRLO1

814

96

16:14:41

XLON

00035422483TRLO1

819

96

16:14:41

XLON

00035422484TRLO1

843

96

16:14:41

XLON

00035422485TRLO1

890

96

16:14:41

XLON

00035422486TRLO1

916

96

16:14:41

XLON

00035422488TRLO1

986

96

16:14:41

XLON

00035422489TRLO1

816

96

16:14:41

XLON

00035422490TRLO1

194

96

16:14:41

XLON

00035422491TRLO1

50

96

16:14:41

XLON

00035422492TRLO1

97

96

16:14:41

XLON

00035422493TRLO1

799

96

16:18:10

XLON

00035422702TRLO1

897

96

16:18:10

XLON

00035422703TRLO1

3450

96

16:18:10

XLON

00035422704TRLO1

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
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