Transaction in Own Shares

RNS Number : 3980I
Lookers PLC
21 March 2018
 

21 March 2018

Lookers plc

 

Transaction in own shares

Lookers plc (the ''Company'') announces that on 20 March 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:

100,000

Date of transaction:

20/03/2018

Average price paid per share:

89.9670p

Lowest price paid per share:

89.40p

Highest price paid per share:

90.00p

 

 

Broker: Numis Securities Limited

 

Application will be made for the Repurchased Shares to be cancelled. Following the cancellation of the Repurchased Shares, the total number of ordinary shares with voting rights will be 397,220,236. The figure of 397,220,236 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

1273

89.4

09:16:42

XLON

00034996593TRLO1

116

89.5

10:06:49

XLON

00034998153TRLO1

393

89.5

10:06:49

XLON

00034998154TRLO1

331

89.4

10:07:24

XLON

00034998157TRLO1

175

89.4

10:07:31

XLON

00034998160TRLO1

825

89.4

10:07:31

XLON

00034998161TRLO1

51

89.4

10:07:31

XLON

00034998162TRLO1

700

90

11:09:22

XLON

00034999746TRLO1

109

90

11:09:22

XLON

00034999747TRLO1

2571

90

11:22:10

XLON

00035000083TRLO1

143

90

11:22:10

XLON

00035000084TRLO1

650

90

11:22:10

XLON

00035000085TRLO1

139

90

11:22:10

XLON

00035000086TRLO1

791

90

11:22:10

XLON

00035000087TRLO1

62

90

11:22:10

XLON

00035000088TRLO1

819

90

11:25:22

XLON

00035000205TRLO1

881

90

11:25:22

XLON

00035000206TRLO1

292

90

11:25:41

XLON

00035000224TRLO1

1108

90

11:25:41

XLON

00035000225TRLO1

821

90

11:26:00

XLON

00035000232TRLO1

79

90

11:26:00

XLON

00035000233TRLO1

118

90

11:26:25

XLON

00035000273TRLO1

551

89.5

11:59:51

XLON

00035001253TRLO1

800

90

13:08:29

XLON

00035003094TRLO1

60

90

13:43:00

XLON

00035004500TRLO1

937

90

13:43:00

XLON

00035004501TRLO1

828

90

13:43:00

XLON

00035004502TRLO1

776

90

13:43:00

XLON

00035004503TRLO1

832

90

13:43:00

XLON

00035004504TRLO1

955

90

13:43:00

XLON

00035004505TRLO1

870

90

13:43:00

XLON

00035004506TRLO1

849

90

13:43:00

XLON

00035004507TRLO1

696

89.8

13:43:14

XLON

00035004523TRLO1

879

89.8

13:43:14

XLON

00035004524TRLO1

2900

89.8

14:12:14

XLON

00035005844TRLO1

153

90

14:50:07

XLON

00035007800TRLO1

3000

90

14:50:38

XLON

00035007823TRLO1

2333

90

14:50:51

XLON

00035007830TRLO1

553

90

14:50:51

XLON

00035007831TRLO1

3400

90

15:35:31

XLON

00035009664TRLO1

4513

90

15:35:31

XLON

00035009665TRLO1

1007

90

15:35:31

XLON

00035009666TRLO1

590

90

15:35:31

XLON

00035009667TRLO1

3036

90

15:35:34

XLON

00035009669TRLO1

768

90

15:35:34

XLON

00035009670TRLO1

944

90

15:35:34

XLON

00035009671TRLO1

923

90

15:35:34

XLON

00035009672TRLO1

907

90

15:35:34

XLON

00035009673TRLO1

832

90

15:35:34

XLON

00035009674TRLO1

887

90

15:35:34

XLON

00035009675TRLO1

875

90

15:35:34

XLON

00035009676TRLO1

878

90

15:35:34

XLON

00035009677TRLO1

271

90

15:35:34

XLON

00035009678TRLO1

525

90

15:35:34

XLON

00035009679TRLO1

76

90

15:35:34

XLON

00035009680TRLO1

811

90

15:35:34

XLON

00035009681TRLO1

182

90

15:35:34

XLON

00035009682TRLO1

613

90

15:35:44

XLON

00035009688TRLO1

794

90

15:35:44

XLON

00035009689TRLO1

809

90

15:35:44

XLON

00035009690TRLO1

950

90

15:35:44

XLON

00035009691TRLO1

611

90

15:35:44

XLON

00035009692TRLO1

1250

90

15:35:44

XLON

00035009693TRLO1

2900

90

15:35:44

XLON

00035009694TRLO1

125

90

15:35:44

XLON

00035009695TRLO1

923

90

15:35:45

XLON

00035009696TRLO1

1004

90

15:36:53

XLON

00035009731TRLO1

43

90

15:48:29

XLON

00035010236TRLO1

2967

90

16:09:31

XLON

00035011393TRLO1

107

90

16:09:31

XLON

00035011394TRLO1

225

90

16:09:34

XLON

00035011402TRLO1

1881

90

16:09:34

XLON

00035011403TRLO1

3972

90

16:17:41

XLON

00035011850TRLO1

112

90

16:17:41

XLON

00035011851TRLO1

24933

90

16:20:09

XLON

00035012017TRLO1

796

90

16:20:09

XLON

00035012018TRLO1

826

90

16:20:09

XLON

00035012019TRLO1

920

90

16:20:09

XLON

00035012020TRLO1

857

89.8

16:20:09

XLON

00035012023TRLO1

538

89.8

16:20:10

XLON

00035012025TRLO1

 

 

 


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