Transaction in Own Shares

RNS Number : 1176I
RELX PLC
30 March 2020
 

30 March 2020

ISSUED ON BEHALF OF RELX PLC

 

Transactions in own shares

 

RELX PLC announces that today it purchased through UBS AG London Branch 63,000 RELX PLC ordinary shares of 14 51/116 pence each on the London Stock Exchange at a price of 1695.1779 pence per share. The purchased shares will be held as treasury shares. Following the above purchase, RELX PLC holds 49,118,480 ordinary shares in treasury, and has 1,932,169,267 ordinary shares in issue (excluding treasury shares). Since 2 January 2020 RELX PLC has purchased 6,851,453 shares.

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), detailed information about the individual purchases made by UBS AG London Branch is set out below.

 

RELX PLC

 

Transaction details: RELX PLC ordinary shares of 14 51/116 pence each

 

Issuer name:

RELX PLC

ISIN:

GB00B2B0DG97

Intermediary name:

UBS AG London Branch

Intermediary Code:

UBSWGB2L

Timezone:

UTC

Currency:

GBP

 

Aggregated information

 

Date of purchase:  

30 March 2020

Number of ordinary shares purchased:

63,000

Volume weighted average price paid per share (p):

1695.1779

 

Disaggregated information

 

Transaction Date

Transaction Time

Volume

Price (p)

Platform Code

MatchId

30-Mar-2020

15:17:42

585

1724.50

XLON

1384153

30-Mar-2020

15:17:05

327

1725.00

XLON

1382475

30-Mar-2020

15:17:04

330

1725.00

XLON

1382467

30-Mar-2020

15:12:42

558

1719.50

XLON

1371996

30-Mar-2020

15:12:17

80

1719.50

XLON

1370800

30-Mar-2020

15:12:17

80

1719.50

XLON

1370798

30-Mar-2020

15:12:17

80

1719.50

XLON

1370796

30-Mar-2020

15:12:17

310

1719.50

XLON

1370794

30-Mar-2020

15:07:06

192

1718.00

XLON

1359217

30-Mar-2020

15:07:06

935

1718.00

XLON

1359215

30-Mar-2020

15:02:45

250

1711.00

XLON

1349708

30-Mar-2020

15:02:45

500

1711.00

XLON

1349706

30-Mar-2020

14:58:05

582

1706.50

XLON

1338617

30-Mar-2020

14:58:05

426

1706.50

XLON

1338615

30-Mar-2020

14:52:49

1,139

1705.00

XLON

1328010

30-Mar-2020

14:48:02

966

1708.50

XLON

1317790

30-Mar-2020

14:41:51

1,000

1711.00

XLON

1305276

30-Mar-2020

14:41:51

4

1711.00

XLON

1305278

30-Mar-2020

14:36:22

626

1712.50

XLON

1295264

30-Mar-2020

14:36:22

470

1712.50

XLON

1295262

30-Mar-2020

14:30:57

1,022

1715.00

XLON

1285436

30-Mar-2020

14:30:54

30

1715.00

XLON

1285330

30-Mar-2020

14:24:09

154

1715.50

XLON

1272162

30-Mar-2020

14:24:09

1,000

1715.50

XLON

1272160

30-Mar-2020

14:18:32

967

1709.00

XLON

1260852

30-Mar-2020

14:12:02

1,173

1710.00

XLON

1246973

30-Mar-2020

14:05:30

1,142

1713.00

XLON

1233587

30-Mar-2020

14:00:59

29

1711.50

XLON

1224292

30-Mar-2020

14:00:59

70

1711.50

XLON

1224286

30-Mar-2020

14:00:59

690

1711.50

XLON

1224284

30-Mar-2020

14:00:59

100

1711.50

XLON

1224288

30-Mar-2020

14:00:59

100

1711.50

XLON

1224290

30-Mar-2020

13:53:25

1,000

1712.50

XLON

1211642

30-Mar-2020

13:53:25

168

1712.50

XLON

1211644

30-Mar-2020

13:49:52

37

1707.00

XLON

1205055

30-Mar-2020

13:49:52

1,000

1707.00

XLON

1205053

30-Mar-2020

13:44:59

500

1706.00

XLON

1195442

30-Mar-2020

13:39:01

1,008

1706.00

XLON

1183233

30-Mar-2020

13:33:13

80

1706.50

XLON

1170444

30-Mar-2020

13:33:13

1,016

1706.50

XLON

1170442

30-Mar-2020

13:30:48

500

1705.50

XLON

1164913

30-Mar-2020

13:23:56

1,131

1705.50

XLON

1149802

30-Mar-2020

13:14:46

1,109

1710.50

XLON

1139538

30-Mar-2020

13:05:07

980

1703.50

XLON

1130823

30-Mar-2020

12:57:16

17

1705.00

XLON

1122191

30-Mar-2020

12:57:16

409

1705.00

XLON

1122195

30-Mar-2020

12:57:16

549

1705.00

XLON

1122193

30-Mar-2020

12:46:44

62

1708.50

XLON

1111217

30-Mar-2020

12:46:44

304

1708.50

XLON

1111215

30-Mar-2020

12:46:35

729

1708.50

XLON

1111016

30-Mar-2020

12:35:53

1,131

1699.00

XLON

1099455

30-Mar-2020

12:26:09

952

1696.50

XLON

1090591

30-Mar-2020

12:14:42

952

1686.00

XLON

1081432

30-Mar-2020

12:03:09

88

1682.00

XLON

1073786

30-Mar-2020

12:03:09

125

1682.00

XLON

1073788

30-Mar-2020

12:03:09

125

1682.00

XLON

1073790

30-Mar-2020

12:03:09

125

1682.50

XLON

1073792

30-Mar-2020

12:03:09

125

1682.50

XLON

1073794

30-Mar-2020

12:03:09

125

1682.50

XLON

1073796

30-Mar-2020

12:03:09

149

1682.50

XLON

1073800

30-Mar-2020

12:03:09

125

1682.50

XLON

1073798

30-Mar-2020

11:51:17

45

1680.50

XLON

1066200

30-Mar-2020

11:51:17

1,000

1680.50

XLON

1066198

30-Mar-2020

11:37:50

263

1685.50

XLON

1056986

30-Mar-2020

11:37:50

734

1685.50

XLON

1056984

30-Mar-2020

11:23:40

471

1684.50

XLON

1047399

30-Mar-2020

11:23:40

600

1684.50

XLON

1047397

30-Mar-2020

11:12:01

732

1686.50

XLON

1039553

30-Mar-2020

11:12:01

224

1686.50

XLON

1039551

30-Mar-2020

11:12:01

110

1686.50

XLON

1039515

30-Mar-2020

11:02:53

1,045

1681.50

XLON

1033621

30-Mar-2020

10:50:17

1,045

1686.00

XLON

1026135

30-Mar-2020

10:46:04

244

1689.50

XLON

1023001

30-Mar-2020

10:34:29

1,000

1671.50

XLON

1016308

30-Mar-2020

10:34:29

51

1671.50

XLON

1016310

30-Mar-2020

10:24:28

1,004

1678.00

XLON

1010271

30-Mar-2020

10:12:07

887

1683.50

XLON

1002365

30-Mar-2020

10:12:07

125

1683.50

XLON

1002363

30-Mar-2020

10:01:27

1,065

1683.00

XLON

995150

30-Mar-2020

09:50:22

191

1682.00

XLON

979967

30-Mar-2020

09:50:22

826

1682.00

XLON

979965

30-Mar-2020

09:37:10

30

1694.00

XLON

961068

30-Mar-2020

09:37:10

1,144

1694.00

XLON

961066

30-Mar-2020

09:27:28

309

1688.50

XLON

947833

30-Mar-2020

09:27:28

649

1688.50

XLON

947831

30-Mar-2020

09:15:36

1,110

1681.00

XLON

932628

30-Mar-2020

09:15:36

29

1681.00

XLON

932630

30-Mar-2020

09:05:33

1,122

1683.00

XLON

920418

30-Mar-2020

08:56:21

24

1678.50

XLON

908574

30-Mar-2020

08:56:21

934

1678.50

XLON

908572

30-Mar-2020

08:56:21

42

1678.50

XLON

908576

30-Mar-2020

08:44:53

1,172

1681.00

XLON

892522

30-Mar-2020

08:36:02

629

1669.50

XLON

878896

30-Mar-2020

08:36:02

434

1669.50

XLON

878894

30-Mar-2020

08:27:36

1,053

1667.50

XLON

867375

30-Mar-2020

08:18:43

1,050

1677.00

XLON

856034

30-Mar-2020

08:10:24

210

1679.50

XLON

843943

30-Mar-2020

08:10:24

838

1679.50

XLON

843941

30-Mar-2020

08:02:28

1,022

1665.00

XLON

828049

30-Mar-2020

07:52:08

1,115

1661.50

XLON

808604

30-Mar-2020

07:43:15

537

1672.00

XLON

791735

30-Mar-2020

07:43:15

413

1672.00

XLON

791737

30-Mar-2020

07:43:15

123

1672.00

XLON

791733

30-Mar-2020

07:43:15

84

1672.00

XLON

791731

30-Mar-2020

07:33:46

40

1684.50

XLON

772242

30-Mar-2020

07:33:46

1,000

1684.50

XLON

772240

30-Mar-2020

07:27:51

1,058

1686.50

XLON

762605

30-Mar-2020

07:19:49

1,098

1690.00

XLON

750252

30-Mar-2020

07:14:27

671

1708.50

XLON

741663

30-Mar-2020

07:14:27

425

1708.50

XLON

741661

30-Mar-2020

07:07:53

1,078

1706.50

XLON

732030

30-Mar-2020

07:06:33

201

1690.00

XLON

729924

30-Mar-2020

07:01:11

1,156

1708.00

XLON

718607

 


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.
 
END
 
 
POSSDEFMSESSESD

Companies

Relx plc (REL)
UK 100