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Transaction in Own Shares

10th Jan 2022 07:00

RNS Number : 8344X
Countryside Properties PLC
10 January 2022
 

7 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

7 January 2022

Number of ordinary shares purchased

44,700

Average price paid (pence)

446.8630

Highest price paid (pence)

446.8630

Lowest price paid (pence)

446.8630

 

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 12,633,707 of its ordinary shares in treasury and has 511,993,163 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

446.8630

44,700

 

Transaction details

Number of ordinary shares purchased

Transaction price per ordinary share (pence)

Time of transaction (UK Time)

Trading venue

Transaction reference number

11

443.80

 12:32:57

XLON

00055995569TRLO0

15

443.80

 12:32:57

XLON

00055995568TRLO0

16

443.80

 12:32:57

XLON

00055995567TRLO0

21

443.80

 12:32:57

XLON

00055995566TRLO0

1293

443.60

 12:33:23

XLON

00055995574TRLO0

1151

445.40

 12:46:47

XLON

00055996082TRLO0

500

448.20

 13:20:12

XLON

00055997413TRLO0

1281

447.80

 13:21:26

XLON

00055997440TRLO0

850

447.20

 13:21:26

XLON

00055997441TRLO0

304

447.40

 13:21:26

XLON

00055997442TRLO0

221

447.40

 13:31:45

XLON

00055997901TRLO0

221

447.40

 13:31:45

XLON

00055997903TRLO0

654

447.40

 13:31:45

XLON

00055997902TRLO0

225

445.60

 13:42:58

XLON

00055998546TRLO0

850

445.60

 13:42:58

XLON

00055998545TRLO0

500

446.20

 13:53:23

XLON

00055998925TRLO0

8

446.00

 13:56:47

XLON

00055999080TRLO0

2

446.60

 14:08:07

XLON

00055999667TRLO0

1

446.60

 14:08:07

XLON

00055999668TRLO0

620

446.80

 14:15:10

XLON

00055999971TRLO0

500

446.60

 14:15:20

XLON

00055999977TRLO0

850

446.40

 14:15:41

XLON

00055999990TRLO0

471

446.60

 14:15:41

XLON

00055999991TRLO0

1253

445.80

 14:25:14

XLON

00056000350TRLO0

200

446.00

 14:30:07

XLON

00056000563TRLO0

1058

446.00

 14:30:07

XLON

00056000562TRLO0

535

446.20

 14:30:07

XLON

00056000565TRLO0

500

446.20

 14:30:07

XLON

00056000564TRLO0

388

446.60

 14:37:15

XLON

00056001317TRLO0

751

446.60

 14:37:15

XLON

00056001316TRLO0

239

448.00

 14:43:57

XLON

00056002025TRLO0

500

448.00

 14:43:57

XLON

00056002024TRLO0

1117

447.80

 14:45:51

XLON

00056002187TRLO0

500

447.80

 14:56:04

XLON

00056003038TRLO0

284

447.80

 14:59:59

XLON

00056003467TRLO0

620

447.80

 15:00:17

XLON

00056003516TRLO0

500

447.80

 15:00:17

XLON

00056003515TRLO0

600

447.20

 15:03:25

XLON

00056003789TRLO0

850

447.60

 15:16:53

XLON

00056004794TRLO0

500

447.60

 15:17:03

XLON

00056004810TRLO0

533

447.60

 15:17:03

XLON

00056004809TRLO0

1085

447.40

 15:17:47

XLON

00056004853TRLO0

560

447.60

 15:21:13

XLON

00056005109TRLO0

223

447.60

 15:21:13

XLON

00056005108TRLO0

438

447.60

 15:21:13

XLON

00056005110TRLO0

1258

447.20

 15:24:48

XLON

00056005328TRLO0

1144

447.40

 15:29:23

XLON

00056005581TRLO0

402

447.00

 15:34:32

XLON

00056005899TRLO0

174

447.00

 15:34:40

XLON

00056005902TRLO0

589

447.00

 15:34:40

XLON

00056005901TRLO0

99

447.40

 15:35:26

XLON

00056005938TRLO0

894

447.40

 15:35:26

XLON

00056005937TRLO0

200

447.40

 15:35:26

XLON

00056005939TRLO0

500

447.40

 15:36:20

XLON

00056005976TRLO0

405

447.20

 15:37:00

XLON

00056006014TRLO0

779

447.20

 15:37:00

XLON

00056006013TRLO0

27

447.20

 15:38:28

XLON

00056006120TRLO0

348

447.00

 15:39:30

XLON

00056006170TRLO0

400

447.00

 15:39:30

XLON

00056006169TRLO0

431

447.00

 15:39:30

XLON

00056006168TRLO0

550

447.80

 15:39:52

XLON

00056006202TRLO0

850

447.80

 15:39:52

XLON

00056006201TRLO0

500

447.80

 15:40:04

XLON

00056006205TRLO0

850

447.80

 15:42:50

XLON

00056006372TRLO0

500

447.60

 15:50:10

XLON

00056006996TRLO0

1308

447.40

 15:50:18

XLON

00056007006TRLO0

1025

447.40

 15:51:40

XLON

00056007331TRLO0

233

447.40

 15:51:40

XLON

00056007330TRLO0

593

445.40

 15:53:46

XLON

00056007698TRLO0

500

445.40

 15:53:46

XLON

00056007697TRLO0

307

445.20

 15:55:52

XLON

00056007953TRLO0

226

446.00

 15:58:06

XLON

00056008206TRLO0

555

446.00

 15:58:06

XLON

00056008205TRLO0

303

446.00

 15:58:06

XLON

00056008204TRLO0

464

446.40

 16:00:31

XLON

00056008454TRLO0

669

446.40

 16:00:31

XLON

00056008453TRLO0

95

446.40

 16:03:31

XLON

00056008744TRLO0

335

446.40

 16:03:31

XLON

00056008743TRLO0

639

446.40

 16:03:31

XLON

00056008742TRLO0

1

446.40

 16:03:31

XLON

00056008741TRLO0

287

446.60

 16:09:12

XLON

00056009463TRLO0

376

446.60

 16:09:18

XLON

00056009488TRLO0

500

446.60

 16:09:18

XLON

00056009487TRLO0

196

446.80

 16:13:31

XLON

00056010141TRLO0

132

446.80

 16:13:31

XLON

00056010140TRLO0

389

446.80

 16:13:37

XLON

00056010145TRLO0

320

446.40

 16:13:48

XLON

00056010171TRLO0

268

446.60

 16:14:49

XLON

00056010277TRLO0

280

446.40

 16:16:38

XLON

00056010511TRLO0

 

 

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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