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Transaction in Own Shares

13th Jan 2022 07:00

RNS Number : 2772Y
Countryside Properties PLC
13 January 2022
 

12 January 2022

Countryside Properties plc

Transaction in own shares

Countryside Properties 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

12 January 2022

Number of ordinary shares purchased

24,200

Average price paid (pence)

412.4157

Highest price paid (pence)

412.4157

Lowest price paid (pence)

412.4157

 

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 12,763,407 of its ordinary shares in treasury and has 511,863,463 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

412.4157

24,200

 

Transaction details

Number of ordinary shares purchased

Transaction price per ordinary share (pence)

Time of transaction (UK Time)

Trading venue

Transaction reference number

237

414.80

 11:35:57

XLON

00056092127TRLO0

500

414.60

 11:39:31

XLON

00056092324TRLO0

237

414.40

 11:43:06

XLON

00056092514TRLO0

334

414.20

 11:53:42

XLON

00056093183TRLO0

400

414.20

 11:53:42

XLON

00056093184TRLO0

365

414.20

 11:53:42

XLON

00056093185TRLO0

779

412.00

 12:05:32

XLON

00056094082TRLO0

226

412.00

 12:05:41

XLON

00056094093TRLO0

1100

411.20

 12:33:24

XLON

00056095795TRLO0

4

410.00

 12:59:28

XLON

00056097656TRLO0

500

410.60

 13:02:37

XLON

00056097798TRLO0

54

410.80

 13:08:09

XLON

00056098040TRLO0

800

410.80

 13:08:09

XLON

00056098041TRLO0

141

410.80

 13:08:09

XLON

00056098042TRLO0

500

410.00

 13:33:21

XLON

00056099330TRLO0

500

410.00

 13:51:18

XLON

00056101171TRLO0

286

410.00

 13:51:18

XLON

00056101172TRLO0

500

410.00

 14:00:26

XLON

00056101901TRLO0

900

409.80

 14:09:05

XLON

00056102572TRLO0

101

409.80

 14:09:05

XLON

00056102573TRLO0

49

410.80

 14:24:34

XLON

00056103532TRLO0

249

411.00

 14:26:24

XLON

00056103762TRLO0

400

411.00

 14:26:24

XLON

00056103763TRLO0

496

411.00

 14:26:24

XLON

00056103764TRLO0

500

411.00

 14:26:35

XLON

00056103776TRLO0

24

410.60

 14:33:14

XLON

00056104659TRLO0

109

410.60

 14:35:08

XLON

00056104831TRLO0

391

410.60

 14:35:08

XLON

00056104832TRLO0

596

410.60

 14:35:08

XLON

00056104833TRLO0

1109

412.00

 14:40:33

XLON

00056105403TRLO0

500

411.00

 14:41:44

XLON

00056105530TRLO0

277

410.40

 14:47:16

XLON

00056106351TRLO0

150

410.40

 14:47:16

XLON

00056106352TRLO0

500

412.00

 14:53:26

XLON

00056107122TRLO0

900

414.60

 15:00:12

XLON

00056108000TRLO0

315

415.60

 15:01:52

XLON

00056108184TRLO0

354

415.00

 15:05:36

XLON

00056108854TRLO0

658

415.00

 15:05:36

XLON

00056108855TRLO0

193

415.20

 15:05:36

XLON

00056108856TRLO0

147

415.20

 15:05:36

XLON

00056108857TRLO0

540

413.00

 15:21:52

XLON

00056110348TRLO0

1064

413.20

 15:32:00

XLON

00056112450TRLO0

88

412.80

 15:32:47

XLON

00056112621TRLO0

91

412.80

 15:32:47

XLON

00056112623TRLO0

865

412.80

 15:32:47

XLON

00056112625TRLO0

1151

413.00

 15:42:59

XLON

00056113871TRLO0

500

413.20

 15:42:59

XLON

00056113872TRLO0

327

413.20

 15:42:59

XLON

00056113873TRLO0

500

413.60

 15:56:53

XLON

00056115471TRLO0

1121

413.80

 16:04:14

XLON

00056116289TRLO0

29

413.80

 16:14:35

XLON

00056117527TRLO0

59

413.80

 16:14:45

XLON

00056117538TRLO0

935

413.80

 16:14:45

XLON

00056117539TRLO0

2

413.80

 16:14:45

XLON

00056117540TRLO0

22

413.80

 16:14:45

XLON

00056117541TRLO0

125

413.80

 16:15:02

XLON

00056117580TRLO0

400

414.00

 16:18:52

XLON

00056118118TRLO0

 

 

For further information please contact

 

Enquiries:

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

Iain McPherson - 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.countrysideproperties.com or follow @CountrysideProp on Twitter

- ends -

 

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