Transaction in Own Shares

Vistry Group PLC
27 June 2024
 

27 June 2024

Vistry Group PLC

Transaction in own shares

Vistry Group PLC (the "Company"), announces that, in accordance with the terms of its share buyback programme announced on 18 April 2024 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through HSBC Bank plc ("HSBC").

Date of purchase:

26/06/2024

Aggregate number of Ordinary Shares purchased:

17,000

Lowest price paid per share (GBp):

1170.00

Highest price paid per share (GBp):

1190.00

Volume weighted average price paid per share (GBp):

1179.6950

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,023,501 with 650,959 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,372,542. This figure for the total number of voting rights 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 FCA's Disclosure Guidance and Transparency Rules.    

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by HSBC as part of the Share Buyback Programme.

Individual transactions:

Number of ordinary shares purchased

Transaction price (GBp share)

Time of transaction (UK Time)

Transaction reference number

Trading venue

195

1188.00

08:04:17

01078890587TRLO1

XLON

207

1185.00

08:06:25

01078891650TRLO1

XLON

205

1180.00

08:14:31

01078895286TRLO1

XLON

205

1179.00

08:28:51

01078899353TRLO1

XLON

203

1179.00

08:28:51

01078899354TRLO1

XLON

199

1179.00

08:35:37

01078900912TRLO1

XLON

202

1190.00

08:58:36

01078908211TRLO1

XLON

189

1190.00

08:58:36

01078908212TRLO1

XLON

197

1190.00

08:59:21

01078908386TRLO1

XLON

154

1190.00

09:07:01

01078910430TRLO1

XLON

41

1190.00

09:07:01

01078910432TRLO1

XLON

197

1188.00

09:18:21

01078913237TRLO1

XLON

207

1186.00

09:24:16

01078914525TRLO1

XLON

104

1186.00

09:32:45

01078916369TRLO1

XLON

87

1186.00

09:32:45

01078916370TRLO1

XLON

192

1188.00

09:34:10

01078916651TRLO1

XLON

195

1187.00

09:35:32

01078916941TRLO1

XLON

197

1187.00

09:43:24

01078918677TRLO1

XLON

197

1187.00

09:48:00

01078919450TRLO1

XLON

198

1187.00

09:59:32

01078921695TRLO1

XLON

206

1185.00

10:10:44

01078924670TRLO1

XLON

136

1184.00

10:17:25

01078926259TRLO1

XLON

59

1184.00

10:17:25

01078926260TRLO1

XLON

33

1183.00

10:18:36

01078926456TRLO1

XLON

155

1183.00

10:20:10

01078926795TRLO1

XLON

20

1183.00

10:20:10

01078926796TRLO1

XLON

146

1181.00

10:46:00

01078933332TRLO1

XLON

57

1181.00

10:46:00

01078933333TRLO1

XLON

207

1181.00

10:46:00

01078933334TRLO1

XLON

207

1182.00

10:48:01

01078933882TRLO1

XLON

196

1182.00

10:48:01

01078933883TRLO1

XLON

201

1181.00

11:00:27

01078936656TRLO1

XLON

196

1181.00

11:13:09

01078939878TRLO1

XLON

197

1181.00

11:13:09

01078939879TRLO1

XLON

191

1180.00

11:30:44

01078944817TRLO1

XLON

126

1180.00

11:30:44

01078944818TRLO1

XLON

70

1180.00

11:30:44

01078944819TRLO1

XLON

195

1179.00

11:35:36

01078946173TRLO1

XLON

193

1178.00

11:40:46

01078947163TRLO1

XLON

200

1179.00

11:48:33

01078948838TRLO1

XLON

204

1180.00

12:01:23

01078951358TRLO1

XLON

193

1180.00

12:01:23

01078951360TRLO1

XLON

189

1178.00

12:05:46

01078952456TRLO1

XLON

194

1180.00

12:23:17

01078956970TRLO1

XLON

201

1179.00

12:25:56

01078957657TRLO1

XLON

205

1177.00

12:36:15

01078959933TRLO1

XLON

198

1177.00

12:36:15

01078959934TRLO1

XLON

190

1177.00

12:51:24

01078963038TRLO1

XLON

192

1177.00

12:51:24

01078963039TRLO1

XLON

195

1177.00

12:56:53

01078964792TRLO1

XLON

207

1177.00

13:06:07

01078966869TRLO1

XLON

205

1176.00

13:13:37

01078968611TRLO1

XLON

195

1174.00

13:25:45

01078971463TRLO1

XLON

1

1174.00

13:25:45

01078971464TRLO1

XLON

203

1174.00

13:25:45

01078971465TRLO1

XLON

166

1172.00

13:32:00

01078973344TRLO1

XLON

24

1172.00

13:32:00

01078973345TRLO1

XLON

128

1174.00

13:34:32

01078974059TRLO1

XLON

69

1174.00

13:34:32

01078974060TRLO1

XLON

199

1174.00

13:34:32

01078974061TRLO1

XLON

189

1173.00

13:35:28

01078974275TRLO1

XLON

202

1173.00

13:35:28

01078974276TRLO1

XLON

198

1171.00

13:41:09

01078975833TRLO1

XLON

195

1171.00

13:47:58

01078977356TRLO1

XLON

201

1171.00

13:52:02

01078978151TRLO1

XLON

191

1170.00

13:59:26

01078980793TRLO1

XLON

4

1170.00

13:59:26

01078980794TRLO1

XLON

194

1170.00

14:09:52

01078984215TRLO1

XLON

161

1170.00

14:09:52

01078984216TRLO1

XLON

45

1170.00

14:09:52

01078984217TRLO1

XLON

36

1173.00

14:21:00

01078987903TRLO1

XLON

170

1173.00

14:21:00

01078987904TRLO1

XLON

187

1173.00

14:21:00

01078987905TRLO1

XLON

3

1173.00

14:21:00

01078987906TRLO1

XLON

146

1172.00

14:22:43

01078988433TRLO1

XLON

51

1172.00

14:22:43

01078988435TRLO1

XLON

152

1178.00

14:35:57

01079000758TRLO1

XLON

51

1178.00

14:35:57

01079000761TRLO1

XLON

199

1178.00

14:35:57

01079000763TRLO1

XLON

207

1178.00

14:37:41

01079002645TRLO1

XLON

126

1178.00

14:37:41

01079002646TRLO1

XLON

64

1178.00

14:37:41

01079002647TRLO1

XLON

202

1177.00

14:39:51

01079004321TRLO1

XLON

206

1177.00

14:39:51

01079004324TRLO1

XLON

205

1180.00

14:51:23

01079013484TRLO1

XLON

205

1180.00

14:51:23

01079013485TRLO1

XLON

197

1179.00

14:53:47

01079015538TRLO1

XLON

90

1180.00

14:58:08

01079018341TRLO1

XLON

99

1180.00

14:58:08

01079018342TRLO1

XLON

191

1184.00

15:09:06

01079027661TRLO1

XLON

200

1184.00

15:09:06

01079027663TRLO1

XLON

200

1183.00

15:09:52

01079028254TRLO1

XLON

201

1183.00

15:09:52

01079028255TRLO1

XLON

188

1182.00

15:09:52

01079028256TRLO1

XLON

196

1181.00

15:16:41

01079033540TRLO1

XLON

180

1181.00

15:16:41

01079033541TRLO1

XLON

11

1181.00

15:16:41

01079033542TRLO1

XLON

198

1181.00

15:18:35

01079034814TRLO1

XLON

196

1181.00

15:23:23

01079038287TRLO1

XLON

197

1181.00

15:24:40

01079039102TRLO1

XLON

190

1179.00

15:27:27

01079041225TRLO1

XLON

306

1179.00

16:02:38

01079068086TRLO1

XLON

450

1179.00

16:02:38

01079068087TRLO1

XLON


This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

Vistry Group PLC

Clare Bates, General Counsel & Group Company Secretary

 

 

01675 437160

 

 

 

 

 

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
 
 

Companies

Vistry Group (VTY)
UK 100

Latest directors dealings