Transactions in Own Shares
Quilter plc (the "Company") announces today it has purchased the following specified number of its ordinary shares of 7 pence each from Goldman Sachs International as an "on Exchange" transaction subject to the rules of the London Stock Exchange. (1)
London Stock Exchange - Summary
Date of purchase: 7 September 2020
Aggregate number of ordinary shares purchased: 40,816
Lowest price paid per share £ 1.3845
Highest price paid per share £ 1.3900
Average price paid per share £ 1.3896
The Company intends to cancel the purchased shares.
Since 25 June 2020, the Company has purchased 19,229,613 shares on the London Stock Exchange at a cost (including dealing and associated costs) of £27,784,992.28.
Following the above transactions, the Company has 1,823,956,276 ordinary shares in issue and holds no ordinary shares in treasury.
The tables below contain detailed information about the purchases made as part of the buyback programme.
(1) All references herein to Goldman Sachs International are to it acting through one or more of its affiliates or any broker-dealer
London Stock Exchange - Schedule of Purchases
Shares purchased: 40,816 (ISIN: GB00BDCXV269)
Date of purchases: 7 September 2020
Investment firm: Goldman Sachs International
The aggregate information and individual information about the transactions carried out by Goldman Sachs International as principal in connection with the above purchases on 7 September 2020 is set out below.
Aggregate Information:
Venue |
Volume-weighted average price |
Aggregated volume |
Lowest price per share |
Highest price per share |
London Stock Exchange |
£ 1.3896 |
40,816 |
£ 1.3845 |
£ 1.3900 |
Individual Transactions:
Transaction Time |
Trading Venue |
Number of Shares |
Price Per Share (GBP) |
Transaction Reference Number |
08:35:08 |
XLON |
2,397 |
£ 1.3845 |
161491441427515 |
08:43:38 |
XLON |
1,202 |
£ 1.3900 |
161491441428583 |
10:56:33 |
XLON |
819 |
£ 1.3900 |
161491441451300 |
10:56:33 |
XLON |
2,833 |
£ 1.3900 |
161491441451301 |
10:56:38 |
XLON |
1,787 |
£ 1.3900 |
161491441451324 |
11:00:45 |
XLON |
1,787 |
£ 1.3900 |
161491441452159 |
11:01:17 |
XLON |
593 |
£ 1.3895 |
161491441452291 |
11:01:17 |
XLON |
2,508 |
£ 1.3895 |
161491441452292 |
11:01:17 |
XLON |
247 |
£ 1.3895 |
161491441452295 |
11:27:38 |
XLON |
207 |
£ 1.3900 |
161491441455835 |
11:57:39 |
XLON |
937 |
£ 1.3900 |
161491441461349 |
11:57:42 |
XLON |
250 |
£ 1.3900 |
161491441461366 |
11:59:58 |
XLON |
1,287 |
£ 1.3900 |
161491441461710 |
12:03:44 |
XLON |
294 |
£ 1.3900 |
161491441463967 |
12:34:18 |
XLON |
1,377 |
£ 1.3900 |
161491441468894 |
12:35:34 |
XLON |
1,756 |
£ 1.3890 |
161491441469110 |
12:35:34 |
XLON |
212 |
£ 1.3890 |
161491441469111 |
12:41:38 |
XLON |
1,043 |
£ 1.3900 |
161491441470060 |
12:41:38 |
XLON |
429 |
£ 1.3900 |
161491441470061 |
12:41:38 |
XLON |
593 |
£ 1.3900 |
161491441470063 |
12:41:38 |
XLON |
1,418 |
£ 1.3900 |
161491441470064 |
13:11:38 |
XLON |
45 |
£ 1.3900 |
161491441474464 |
13:11:38 |
XLON |
1,911 |
£ 1.3900 |
161491441474465 |
13:11:53 |
XLON |
1,519 |
£ 1.3900 |
161491441474488 |
13:13:52 |
XLON |
574 |
£ 1.3900 |
161491441474762 |
13:43:56 |
XLON |
260 |
£ 1.3900 |
161491441478890 |
13:43:56 |
XLON |
539 |
£ 1.3900 |
161491441478891 |
13:52:58 |
XLON |
3,603 |
£ 1.3900 |
161491441480516 |
13:54:19 |
XLON |
26 |
£ 1.3900 |
161491441480839 |
13:54:19 |
XLON |
108 |
£ 1.3900 |
161491441480840 |
13:54:20 |
XLON |
262 |
£ 1.3900 |
161491441480841 |
13:57:26 |
XLON |
2,367 |
£ 1.3900 |
161491441481357 |
13:57:35 |
XLON |
1,710 |
£ 1.3900 |
161491441481391 |
13:58:35 |
XLON |
2,540 |
£ 1.3900 |
161491441481590 |
13:58:35 |
XLON |
1,376 |
£ 1.3900 |
161491441481591 |