WH Smith PLC
Transaction in Own Shares
WH Smith PLC (the "Company") announces that it has purchased, in accordance with the authority granted by shareholders at the Company's Annual General Meeting on 27 January 2016, the following number of its ordinary shares of 22 6/67 pence each ("Shares") as part of the buyback programme initially announced on 24 August 2016:
Date of purchase: 14 November 2016
Number of Shares purchased: 35,000 Shares
Highest price paid per Share: 1516.0 pence
Lowest price paid per Share: 1488.0 pence
Average price paid per Share: 1497.1245 pence
The Company intends to cancel these Shares.
The Company has 112,665,444 Shares in issue. This number represents the total voting rights in the Company and may be used by shareholders as the denominator for the calculations by which they can determine if they are required to notify their interest in, or a change to their interest in the Company under the Financial Conduct Authority's Disclosure and Transparency Rules.
The schedule below contains detailed information about the purchases made by Barclays on behalf of the Company as part of the buyback programme.
For further information, please contact:
WH Smith PLC
Mark Boyle
Investor Relations
020 7406 6320
Schedule of Purchases
Shares purchased: WH Smith PLC (ISIN CODE: GB00B2PDGW16)
Date of purchases: 14 November 2016
Investment firm: Barclays Capital Securities Limited
Aggregate information:
Venue |
Volume-weighted average price, pence |
Aggregated volume |
BATS Europe |
1491.4132 |
484 |
Chi-X Europe |
1496.4943 |
6,122 |
Turquoise |
1492.8533 |
4,116 |
London Stock Exchange |
1498.1214 |
24,278 |
Individual transactions:
Number of shares purchased |
Transaction price |
Time of transaction |
Trading venue |
24 |
15.12 |
08:06:02 |
London Stock Exchange |
214 |
15.12 |
08:07:30 |
London Stock Exchange |
93 |
15.12 |
08:10:34 |
London Stock Exchange |
302 |
15.12 |
08:10:34 |
London Stock Exchange |
309 |
15.05 |
08:16:26 |
London Stock Exchange |
214 |
15.15 |
08:28:28 |
London Stock Exchange |
278 |
15.15 |
08:28:28 |
London Stock Exchange |
216 |
15.16 |
08:30:32 |
London Stock Exchange |
27 |
15.15 |
08:30:36 |
London Stock Exchange |
403 |
15.11 |
08:40:01 |
London Stock Exchange |
214 |
15.11 |
08:49:13 |
London Stock Exchange |
151 |
15.11 |
08:49:13 |
London Stock Exchange |
159 |
15.11 |
08:49:13 |
London Stock Exchange |
66 |
15.16 |
09:05:53 |
London Stock Exchange |
148 |
15.16 |
09:05:53 |
London Stock Exchange |
831 |
15.14 |
09:07:42 |
London Stock Exchange |
380 |
15.10 |
09:15:57 |
London Stock Exchange |
31 |
15.10 |
09:15:57 |
London Stock Exchange |
319 |
15.09 |
09:30:27 |
Chi-X Europe |
62 |
15.09 |
09:36:45 |
Chi-X Europe |
214 |
15.09 |
09:36:45 |
Chi-X Europe |
301 |
15.09 |
09:36:45 |
London Stock Exchange |
218 |
15.09 |
09:36:45 |
London Stock Exchange |
214 |
15.07 |
09:41:32 |
London Stock Exchange |
190 |
15.04 |
09:43:06 |
London Stock Exchange |
24 |
15.04 |
09:43:06 |
London Stock Exchange |
400 |
15.05 |
09:52:43 |
London Stock Exchange |
399 |
15.03 |
10:00:30 |
London Stock Exchange |
567 |
15.05 |
10:17:08 |
London Stock Exchange |
14 |
15.04 |
10:17:30 |
Chi-X Europe |
200 |
15.04 |
10:17:30 |
London Stock Exchange |
131 |
15.07 |
10:37:26 |
London Stock Exchange |
83 |
15.07 |
10:37:26 |
London Stock Exchange |
182 |
15.09 |
10:52:03 |
London Stock Exchange |
32 |
15.09 |
10:52:03 |
London Stock Exchange |
422 |
15.08 |
10:55:18 |
Chi-X Europe |
533 |
15.08 |
10:55:18 |
London Stock Exchange |
214 |
15.05 |
11:01:59 |
London Stock Exchange |
214 |
15.02 |
11:14:56 |
Chi-X Europe |
400 |
15.02 |
11:14:56 |
Chi-X Europe |
400 |
14.95 |
11:25:54 |
London Stock Exchange |
214 |
14.93 |
11:29:50 |
Chi-X Europe |
214 |
14.90 |
11:35:47 |
London Stock Exchange |
91 |
14.95 |
12:07:18 |
London Stock Exchange |
242 |
14.96 |
12:07:18 |
London Stock Exchange |
577 |
14.96 |
12:07:18 |
London Stock Exchange |
179 |
14.95 |
12:10:46 |
London Stock Exchange |
35 |
14.95 |
12:10:46 |
London Stock Exchange |
361 |
14.96 |
12:34:45 |
Chi-X Europe |
16 |
14.96 |
12:34:45 |
Chi-X Europe |
175 |
14.96 |
12:34:45 |
Turquoise |
26 |
14.96 |
12:34:45 |
London Stock Exchange |
263 |
14.96 |
12:34:45 |
London Stock Exchange |
93 |
14.96 |
12:34:45 |
London Stock Exchange |
214 |
14.95 |
12:39:59 |
Turquoise |
214 |
14.93 |
12:44:38 |
Turquoise |
214 |
14.94 |
12:59:48 |
Turquoise |
262 |
14.93 |
13:09:39 |
London Stock Exchange |
96 |
14.93 |
13:09:39 |
Chi-X Europe |
250 |
14.93 |
13:09:39 |
Chi-X Europe |
83 |
14.93 |
13:09:39 |
Chi-X Europe |
214 |
14.90 |
13:11:13 |
Turquoise |
400 |
14.92 |
13:18:44 |
Chi-X Europe |
367 |
14.93 |
13:33:41 |
Turquoise |
129 |
14.93 |
13:33:41 |
London Stock Exchange |
298 |
14.93 |
13:33:41 |
London Stock Exchange |
400 |
14.92 |
13:40:33 |
Turquoise |
49 |
14.93 |
13:59:49 |
Turquoise |
165 |
14.93 |
13:59:49 |
Turquoise |
24 |
14.93 |
14:02:54 |
London Stock Exchange |
190 |
14.93 |
14:02:54 |
London Stock Exchange |
214 |
14.93 |
14:08:16 |
London Stock Exchange |
239 |
14.94 |
14:14:19 |
Chi-X Europe |
3 |
14.94 |
14:14:19 |
London Stock Exchange |
584 |
14.94 |
14:14:19 |
London Stock Exchange |
234 |
14.94 |
14:14:19 |
London Stock Exchange |
5 |
14.93 |
14:17:05 |
London Stock Exchange |
209 |
14.93 |
14:17:05 |
London Stock Exchange |
385 |
14.93 |
14:25:18 |
London Stock Exchange |
18 |
14.93 |
14:25:18 |
London Stock Exchange |
126 |
14.94 |
14:32:09 |
London Stock Exchange |
155 |
14.94 |
14:32:09 |
London Stock Exchange |
44 |
14.94 |
14:32:09 |
London Stock Exchange |
65 |
14.93 |
14:36:21 |
London Stock Exchange |
149 |
14.93 |
14:36:21 |
London Stock Exchange |
411 |
14.93 |
14:40:08 |
London Stock Exchange |
214 |
14.93 |
14:40:08 |
London Stock Exchange |
397 |
14.96 |
14:56:05 |
London Stock Exchange |
243 |
14.96 |
14:56:05 |
Chi-X Europe |
45 |
14.96 |
14:56:05 |
Turquoise |
250 |
14.96 |
14:56:05 |
Turquoise |
32 |
14.96 |
14:56:05 |
Turquoise |
148 |
14.96 |
14:56:05 |
London Stock Exchange |
214 |
14.96 |
14:58:11 |
London Stock Exchange |
398 |
14.95 |
15:03:13 |
Chi-X Europe |
214 |
14.92 |
15:04:48 |
Turquoise |
214 |
14.92 |
15:13:00 |
Chi-X Europe |
237 |
14.91 |
15:13:34 |
Chi-X Europe |
45 |
14.91 |
15:13:34 |
Chi-X Europe |
173 |
14.91 |
15:13:43 |
Chi-X Europe |
203 |
14.91 |
15:18:57 |
London Stock Exchange |
196 |
14.91 |
15:18:57 |
London Stock Exchange |
214 |
14.90 |
15:23:58 |
London Stock Exchange |
214 |
14.90 |
15:23:58 |
Chi-X Europe |
214 |
14.88 |
15:26:05 |
London Stock Exchange |
214 |
14.89 |
15:29:31 |
London Stock Exchange |
153 |
14.90 |
15:32:19 |
London Stock Exchange |
248 |
14.90 |
15:32:19 |
London Stock Exchange |
398 |
14.90 |
15:39:23 |
London Stock Exchange |
418 |
14.90 |
15:43:00 |
London Stock Exchange |
223 |
14.93 |
15:56:09 |
Chi-X Europe |
134 |
14.93 |
15:58:12 |
London Stock Exchange |
100 |
14.93 |
15:58:12 |
BATS Europe |
125 |
14.95 |
16:01:12 |
Turquoise |
59 |
14.95 |
16:01:12 |
Turquoise |
141 |
14.95 |
16:01:12 |
Chi-X Europe |
283 |
14.95 |
16:01:12 |
London Stock Exchange |
87 |
14.95 |
16:01:12 |
London Stock Exchange |
122 |
14.95 |
16:01:12 |
London Stock Exchange |
14 |
14.95 |
16:01:12 |
London Stock Exchange |
100 |
14.95 |
16:01:12 |
London Stock Exchange |
11 |
14.95 |
16:01:12 |
London Stock Exchange |
237 |
14.94 |
16:04:34 |
Chi-X Europe |
298 |
14.94 |
16:04:34 |
Turquoise |
253 |
14.94 |
16:04:34 |
London Stock Exchange |
258 |
14.94 |
16:04:34 |
London Stock Exchange |
263 |
14.94 |
16:06:11 |
London Stock Exchange |
13 |
14.94 |
16:06:11 |
London Stock Exchange |
425 |
14.94 |
16:06:11 |
London Stock Exchange |
138 |
14.93 |
16:14:32 |
London Stock Exchange |
264 |
14.93 |
16:14:32 |
London Stock Exchange |
398 |
14.92 |
16:20:39 |
London Stock Exchange |
221 |
14.92 |
16:20:39 |
London Stock Exchange |
252 |
14.92 |
16:20:39 |
London Stock Exchange |
186 |
14.92 |
16:20:39 |
London Stock Exchange |
34 |
14.91 |
16:24:00 |
London Stock Exchange |
200 |
14.91 |
16:24:10 |
London Stock Exchange |
168 |
14.91 |
16:24:10 |
London Stock Exchange |
250 |
14.91 |
16:27:18 |
London Stock Exchange |
150 |
14.91 |
16:27:18 |
Chi-X Europe |
175 |
14.91 |
16:27:18 |
Turquoise |
6 |
14.91 |
16:27:18 |
Turquoise |
175 |
14.91 |
16:27:18 |
Turquoise |
150 |
14.91 |
16:27:18 |
Chi-X Europe |
185 |
14.91 |
16:27:18 |
Turquoise |
125 |
14.91 |
16:27:18 |
Turquoise |
250 |
14.91 |
16:27:18 |
London Stock Exchange |
180 |
14.91 |
16:27:18 |
Turquoise |
140 |
14.91 |
16:27:18 |
London Stock Exchange |
60 |
14.91 |
16:27:18 |
Turquoise |
179 |
14.91 |
16:27:18 |
London Stock Exchange |
145 |
14.91 |
16:27:18 |
London Stock Exchange |
3 |
14.91 |
16:27:18 |
London Stock Exchange |
150 |
14.91 |
16:27:18 |
Chi-X Europe |
121 |
14.91 |
16:27:18 |
London Stock Exchange |
93 |
14.91 |
16:27:18 |
Chi-X Europe |
100 |
14.91 |
16:27:18 |
BATS Europe |
90 |
14.91 |
16:27:18 |
BATS Europe |
194 |
14.91 |
16:27:18 |
BATS Europe |
175 |
14.91 |
16:27:18 |
Turquoise |
150 |
14.91 |
16:27:18 |
Chi-X Europe |
30 |
14.91 |
16:29:02 |
London Stock Exchange |
189 |
14.91 |
16:29:11 |
London Stock Exchange |
353 |
14.92 |
16:29:21 |
London Stock Exchange |
292 |
14.92 |
16:29:21 |
London Stock Exchange |
288 |
14.92 |
16:29:29 |
London Stock Exchange |
75 |
14.92 |
16:29:29 |
London Stock Exchange |
250 |
14.93 |
16:29:34 |
London Stock Exchange |
451 |
14.93 |
16:29:34 |
London Stock Exchange |
27 |
14.93 |
16:29:34 |
London Stock Exchange |
807 |
14.93 |
16:29:34 |
London Stock Exchange |