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Transaction in Own Shares

3rd Mar 2022 07:00

RNS Number : 4423D
Countryside Partnerships PLC
03 March 2022
 

02 March 2022

Countryside Partnerships PLC

Transaction in own shares

Countryside Partnerships plc (the "Company") announces that it has purchased the following number of ordinary shares in the capital of the Company on the London Stock Exchange from Numis Securities Limited ("Numis"):

Ordinary shares

Date of purchase

02 March 2022

Number of ordinary shares purchased

50,000

Average price paid (pence)

295.3377

Highest price paid (pence)

295.3377

Lowest price paid (pence)

295.3377

 

Such purchases form part of the Company's existing share buyback programme and were effected pursuant to the instructions issued to Numis by the Company on 30 November 2021, as supplemented from time to time in accordance with the terms thereof.

The repurchased shares will be held in treasury. Following the repurchase of these ordinary shares, the Company holds 14,814,407 of its ordinary shares in treasury and has 509,812,463 ordinary shares in issue (excluding treasury shares). To the extent that further ordinary shares are repurchased under the programme, these will also be held in treasury.

In connection with the above purchases, Numis as principal purchased the ordinary shares to sell to the Company on the London Stock Exchange. A full breakdown of the individual trades made by Numis as principal in connection with the above purchases is detailed below.

 

Aggregated information

Trading venue

Volume weighted average price

Aggregated volume (ordinary shares)

London Stock Exchange

295.3377

50,000

 

Transaction details

Number of ordinary shares purchased

Transaction price per ordinary share (pence)

Time of transaction (UK Time)

Trading venue

Transaction reference number

430

301.20

 11:41:11

XLON

00057326301TRLO0

1032

301.20

 11:41:11

XLON

00057326300TRLO0

564

299.00

 11:56:59

XLON

00057327648TRLO0

1139

299.00

 11:57:39

XLON

00057327738TRLO0

1512

298.20

 12:14:54

XLON

00057329703TRLO0

202

298.40

 12:20:59

XLON

00057330270TRLO0

669

298.40

 12:20:59

XLON

00057330269TRLO0

242

298.40

 12:20:59

XLON

00057330268TRLO0

99

298.40

 12:20:59

XLON

00057330274TRLO0

263

298.40

 12:20:59

XLON

00057330273TRLO0

85

298.40

 12:20:59

XLON

00057330272TRLO0

94

298.40

 12:20:59

XLON

00057330271TRLO0

1090

297.60

 12:41:34

XLON

00057332313TRLO0

400

297.60

 12:41:34

XLON

00057332312TRLO0

750

298.60

 12:51:46

XLON

00057333185TRLO0

1557

298.40

 12:54:54

XLON

00057333436TRLO0

131

298.40

 12:54:54

XLON

00057333435TRLO0

1603

298.00

 13:08:10

XLON

00057334572TRLO0

270

299.00

 13:24:02

XLON

00057336149TRLO0

1262

299.00

 13:24:02

XLON

00057336148TRLO0

119

297.00

 13:34:52

XLON

00057337475TRLO0

1318

297.00

 13:34:52

XLON

00057337474TRLO0

1476

297.20

 13:45:04

XLON

00057339312TRLO0

1663

295.60

 13:58:01

XLON

00057341201TRLO0

1474

294.40

 14:11:19

XLON

00057342821TRLO0

507

294.60

 14:21:38

XLON

00057344234TRLO0

1028

294.60

 14:21:38

XLON

00057344233TRLO0

1568

294.20

 14:30:36

XLON

00057345812TRLO0

1464

293.60

 14:33:12

XLON

00057346440TRLO0

1482

294.40

 14:43:15

XLON

00057348420TRLO0

1451

294.40

 14:49:05

XLON

00057349880TRLO0

79

294.40

 14:49:05

XLON

00057349879TRLO0

1510

294.20

 14:55:37

XLON

00057351641TRLO0

1547

293.80

 15:00:13

XLON

00057352623TRLO0

1684

293.20

 15:06:13

XLON

00057353982TRLO0

263

291.20

 15:15:19

XLON

00057356326TRLO0

1261

291.20

 15:15:19

XLON

00057356327TRLO0

1541

291.80

 15:25:14

XLON

00057358470TRLO0

1760

292.40

 15:27:04

XLON

00057358893TRLO0

1669

292.80

 15:36:10

XLON

00057360452TRLO0

1092

292.40

 15:40:36

XLON

00057361216TRLO0

536

292.40

 15:40:36

XLON

00057361215TRLO0

1495

293.20

 15:49:53

XLON

00057362917TRLO0

1649

293.00

 15:54:11

XLON

00057363603TRLO0

1704

294.80

 16:04:23

XLON

00057365399TRLO0

1539

294.60

 16:10:18

XLON

00057366315TRLO0

319

295.00

 16:10:52

XLON

00057366388TRLO0

442

295.00

 16:10:52

XLON

00057366387TRLO0

239

295.00

 16:10:52

XLON

00057366386TRLO0

39

296.20

 16:17:49

XLON

00057367517TRLO0

1472

296.20

 16:17:49

XLON

00057367516TRLO0

410

296.00

 16:21:18

XLON

00057368101TRLO0

806

296.00

 16:21:18

XLON

00057368100TRLO0

 

 

For further information please contact

 

Enquiries:

Countryside Partnerships plc Tel: +44 (0) 1277 260 000

John Martin - Interim Group Chief Executive

Tom Wright - Interim Group Chief Financial Officer

Victoria Prior - Managing Director, Corporate Affairs

Brunswick Group LLP Tel: +44 (0) 20 7404 5959

Nina Coad

Robin Wrench

Note to editors:

Countryside is the market leader in the delivery of high quality mixed-tenure communities in partnership with housing associations, public bodies and institutional private rental operators, with a strong focus on placemaking and regeneration.

Countryside's differentiated Partnerships business model:

· Mixed tenure developments, including affordable homes, homes available for institutional private rental and available for private for sale.

· Over 40 years track record of collaborative working with partners in public and private sectors

· Over 60% of developments on regeneration or brownfield sites.

· Increasing use of Modern Methods of Construction, with a target of 50% of all homes to be built using our in-house manufacturing facilities by 2025.

· Place-making at the heart of everything we do - designing places people love, helping to build successful communities. Committed to high quality design, construction and management, creating a positive legacy for future generations.

For more information see www.countrysidepartnerships.com or follow @CountrysidePPLC on Twitter

- ends -

 

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