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Transaction in Own Shares

21st Feb 2022 07:00

RNS Number : 1885C
Countryside Partnerships PLC
21 February 2022
 

18 February 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

18 February 2022

Number of ordinary shares purchased

65,000

Average price paid (pence)

303.5853

Highest price paid (pence)

303.5853

Lowest price paid (pence)

303.5853

 

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 14,242,407 of its ordinary shares in treasury and has 510,384,463 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

303.5853

65,000

 

Transaction details

Number of ordinary shares purchased

Transaction price per ordinary share (pence)

Time of transaction (UK Time)

Trading venue

Transaction reference number

1406

303.00

 11:12:04

XLON

00057025184TRLO0

465

303.80

 11:13:43

XLON

00057025222TRLO0

1545

303.60

 11:13:44

XLON

00057025223TRLO0

451

303.60

 11:13:44

XLON

00057025225TRLO0

750

303.60

 11:13:44

XLON

00057025224TRLO0

1300

303.60

 11:13:53

XLON

00057025244TRLO0

750

304.20

 11:21:55

XLON

00057025444TRLO0

653

304.40

 11:26:45

XLON

00057025660TRLO0

650

304.40

 11:26:45

XLON

00057025659TRLO0

1533

305.20

 11:33:45

XLON

00057025950TRLO0

1608

305.00

 12:02:59

XLON

00057026756TRLO0

1470

305.00

 12:12:23

XLON

00057027024TRLO0

1510

305.00

 12:38:48

XLON

00057027900TRLO0

1343

305.00

 12:46:34

XLON

00057028244TRLO0

1589

304.80

 12:57:22

XLON

00057028548TRLO0

875

304.80

 12:57:22

XLON

00057028549TRLO0

511

305.00

 12:57:22

XLON

00057028550TRLO0

1338

305.20

 13:07:08

XLON

00057028893TRLO0

1346

304.60

 13:11:07

XLON

00057029131TRLO0

1315

304.00

 13:15:08

XLON

00057029357TRLO0

1364

304.40

 13:23:41

XLON

00057029682TRLO0

1543

304.20

 13:23:42

XLON

00057029683TRLO0

1417

304.20

 13:26:05

XLON

00057029868TRLO0

1569

303.60

 13:33:21

XLON

00057030400TRLO0

1407

303.80

 13:41:59

XLON

00057030808TRLO0

1590

304.80

 13:55:51

XLON

00057031425TRLO0

37

304.00

 14:09:23

XLON

00057031950TRLO0

1467

304.00

 14:09:23

XLON

00057031949TRLO0

1360

304.20

 14:20:35

XLON

00057032591TRLO0

1367

304.20

 14:32:23

XLON

00057033352TRLO0

1439

303.80

 14:35:19

XLON

00057033649TRLO0

1357

303.00

 14:39:11

XLON

00057033988TRLO0

942

301.80

 14:43:58

XLON

00057034380TRLO0

449

301.80

 14:43:58

XLON

00057034379TRLO0

1574

301.80

 14:49:03

XLON

00057034589TRLO0

1573

302.80

 14:59:14

XLON

00057035138TRLO0

280

302.60

 14:59:17

XLON

00057035142TRLO0

1119

302.60

 14:59:21

XLON

00057035147TRLO0

341

302.80

 15:06:41

XLON

00057035595TRLO0

750

302.80

 15:06:41

XLON

00057035594TRLO0

1551

302.60

 15:11:31

XLON

00057035849TRLO0

1361

304.80

 15:21:53

XLON

00057036515TRLO0

325

304.20

 15:22:32

XLON

00057036562TRLO0

37

303.80

 15:23:11

XLON

00057036586TRLO0

1565

303.80

 15:23:11

XLON

00057036585TRLO0

1397

303.80

 15:31:13

XLON

00057037187TRLO0

1239

302.80

 15:36:39

XLON

00057037493TRLO0

259

302.80

 15:36:39

XLON

00057037494TRLO0

1546

302.80

 15:45:09

XLON

00057038006TRLO0

1339

302.60

 15:51:25

XLON

00057038480TRLO0

1568

302.60

 15:57:39

XLON

00057038892TRLO0

1495

302.00

 16:03:42

XLON

00057039290TRLO0

1311

301.60

 16:08:20

XLON

00057039913TRLO0

1324

301.40

 16:10:22

XLON

00057040055TRLO0

1603

301.80

 16:16:06

XLON

00057040634TRLO0

1062

302.00

 16:20:09

XLON

00057041123TRLO0

665

302.00

 16:22:47

XLON

00057041435TRLO0

 

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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