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Transaction in own shares

30th Dec 2016 14:53

RNS Number : 1114T
Paysafe Group PLC
30 December 2016
 

30 December 2016

Paysafe Group plc

Transaction in own shares

Paysafe Group plc (LSE: PAYS, "Paysafe" or the "Company") announces that it has purchased the following number of its ordinary shares of 0.01 pence each on the London Stock Exchange from BMO Capital Markets Limited ("BMO Capital Markets") as part of its buyback programme announced on 20 December 2016.

 

Date of purchase:

30 December 2016

Number of ordinary 0.01 pence shares purchased:

31,889

Highest price paid per share:

371.3p

Lowest price paid per share:

362.6p

Volume weighted average price paid per share:

368.4p

 

The number of shares purchased represented 0.01% of the voting rights attributable to the total ordinary shares in issue prior to such purchase. The purchased shares will be cancelled.

Paysafe has purchased to date 710,221 of its own shares since announcing a share buy-back programme on 20 December 2016.

The total number of ordinary shares in issue following this announcement is 489,795,281. The Company holds no ordinary shares in Treasury. Therefore the total voting rights in Paysafe is 489,795,281. This figure may be used by shareholders 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, Paysafe 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), the schedule below contains detailed information about the purchases made independently by BMO Capital Markets on behalf of the Company as part of the buyback programme.

 

For further information, contact:

Paysafe Group plc

Michelle Singleton, VP Investor Relations

+44 (0) 20 3826 9800 / [email protected] 

Anna Howard, Head of Corporate Communications

+44 (0) 203 8269822 / [email protected]

Brunswick Group LLP

Brian Buckley / Rowan Brown

+44 (0) 20 7404 5959 / [email protected]

 

 

 

Schedule of Purchases - Individual Transactions

Number of shares purchased

Transaction price (pence per share)

Time of transaction

Trading venue

128

365.5p

08:00 AM (UK)

London Stock Exchange

46

365.5p

08:00 AM (UK)

London Stock Exchange

842

365.6p

08:06 AM (UK)

London Stock Exchange

700

365.2p

08:13 AM (UK)

Bats Europe -Bxe Order Books

135

365.2p

08:13 AM (UK)

Bats Europe -Bxe Order Books

842

363.6p

08:14 AM (UK)

London Stock Exchange

860

362.6p

08:18 AM (UK)

London Stock Exchange

21

363.8p

08:25 AM (UK)

London Stock Exchange

1,135

364.2p

08:26 AM (UK)

Off-Exchange Transactions - Listed Instruments

391

364.2p

08:26 AM (UK)

London Stock Exchange

648

365.7p

08:34 AM (UK)

Off-Exchange Transactions - Listed Instruments

100

365.7p

08:34 AM (UK)

London Stock Exchange

1,018

366.3p

08:36 AM (UK)

London Stock Exchange

325

366.3p

08:36 AM (UK)

London Stock Exchange

876

368.4p

08:39 AM (UK)

London Stock Exchange

443

368.4p

08:39 AM (UK)

London Stock Exchange

270

368.4p

08:39 AM (UK)

London Stock Exchange

168

368.4p

08:40 AM (UK)

London Stock Exchange

851

366.9p

08:49 AM (UK)

London Stock Exchange

501

366.5p

08:50 AM (UK)

London Stock Exchange

349

366.5p

08:52 AM (UK)

London Stock Exchange

862

367.4p

09:01 AM (UK)

London Stock Exchange

200

368.6p

09:10 AM (UK)

Bats Europe - Cxe Order Books

1,317

368.9p

09:15 AM (UK)

Off-Exchange Transactions - Listed Instruments

833

368.4p

09:21 AM (UK)

London Stock Exchange

638

367.4p

09:33 AM (UK)

London Stock Exchange

277

367.4p

09:33 AM (UK)

London Stock Exchange

508

368.4p

09:40 AM (UK)

Bats Europe -Bxe Order Books

100

368.4p

09:40 AM (UK)

Bats Europe - Cxe Order Books

478

368.0p

09:43 AM (UK)

London Stock Exchange

393

368.0p

09:43 AM (UK)

London Stock Exchange

738

369.8p

09:56 AM (UK)

Off-Exchange Transactions - Listed Instruments

531

369.8p

09:56 AM (UK)

Off-Exchange Transactions - Listed Instruments

704

369.8p

10:03 AM (UK)

London Stock Exchange

195

369.8p

10:03 AM (UK)

London Stock Exchange

946

370.2p

10:10 AM (UK)

Off-Exchange Transactions - Listed Instruments

540

370.1p

10:17 AM (UK)

London Stock Exchange

381

370.1p

10:17 AM (UK)

London Stock Exchange

878

369.0p

10:29 AM (UK)

London Stock Exchange

1,320

369.3p

10:40 AM (UK)

Off-Exchange Transactions - Listed Instruments

666

369.2p

10:40 AM (UK)

London Stock Exchange

185

369.2p

10:40 AM (UK)

London Stock Exchange

918

370.0p

10:55 AM (UK)

Off-Exchange Transactions - Listed Instruments

779

370.1p

10:56 AM (UK)

London Stock Exchange

85

370.1p

10:56 AM (UK)

London Stock Exchange

459

371.0p

11:19 AM (UK)

Off-Exchange Transactions - Listed Instruments

421

371.0p

11:19 AM (UK)

Off-Exchange Transactions - Listed Instruments

851

371.1p

11:33 AM (UK)

London Stock Exchange

519

371.0p

11:49 AM (UK)

Bats Europe - Cxe Order Books

340

371.0p

11:51 AM (UK)

Bats Europe - Cxe Order Books

834

371.1p

12:03 PM (UK)

London Stock Exchange

1,015

371.0p

12:16 PM (UK)

London Stock Exchange

989

371.3p

12:35 PM (UK)

London Stock Exchange

875

371.3p

12:35 PM (UK)

London Stock Exchange

465

371.3p

12:35 PM (UK)

London Stock Exchange

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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