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RNS Number : 5326A
Auto Trader Group plc
24 March 2017
 

AUTO TRADER GROUP PLC TRANSACTION IN OWN SHARES

Auto Trader Group plc (the "Company") announces that on 24 March 2017 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 390.5783p per share:

 

Number of ordinary shares purchased:                                                            189,600

Highest purchase price paid per share:                                                            392.3p

Lowest purchase price paid per share:                                                            388.8p

 

Following the above transaction, the Company has 979,355,146 ordinary shares in issue and holds 4,203,277 ordinary shares in treasury. Therefore the total number of voting rights in the Company is 975,151,869 which 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, Auto Trader Group plc 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 by Merrill Lynch International on behalf of the Company as part of the buyback programme.

Enquiries:

Claire Baty

Company Secretary

+44 (0)161 669 9888

 

Schedule of Purchases - Individual Transactions

 

 

Number of shares purchased

Transaction price (per share)

Time of transaction

Execution venue

643

390.10

08:41:19

XLON

12

389.60

08:44:53

XLON

42

389.60

08:44:53

XLON

191

389.60

08:44:53

XLON

565

389.60

08:44:53

XLON

703

389.60

08:44:53

XLON

1477

389.70

08:55:56

XLON

536

390.40

09:00:00

XLON

1604

390.40

09:00:00

XLON

444

390.30

09:00:28

XLON

1078

390.30

09:00:28

XLON

1294

389.80

09:08:14

XLON

125

389.90

09:12:53

XLON

1231

389.90

09:12:53

XLON

1722

389.80

09:14:13

XLON

202

389.60

09:19:07

XLON

406

389.60

09:19:07

XLON

800

389.60

09:19:07

XLON

800

389.60

09:19:07

XLON

477

389.10

09:26:08

XLON

958

389.10

09:26:08

XLON

137

389.10

09:33:34

XLON

362

389.10

09:33:34

XLON

512

389.10

09:33:34

XLON

706

389.10

09:33:34

XLON

429

389.10

09:33:35

XLON

949

389.10

09:33:35

XLON

1437

388.80

09:45:57

XLON

1752

388.80

09:45:57

XLON

1554

389.20

09:49:55

XLON

510

389.30

09:56:58

XLON

1037

389.30

09:56:58

XLON

203

389.40

10:01:48

XLON

1756

389.40

10:01:48

XLON

237

391.20

10:21:05

XLON

463

391.20

10:21:05

XLON

751

391.20

10:21:05

XLON

932

391.20

10:21:05

XLON

1162

391.20

10:21:05

XLON

37

390.80

10:22:38

XLON

701

390.80

10:22:38

XLON

800

390.80

10:22:38

XLON

583

391.70

10:42:22

XLON

584

391.70

10:42:22

XLON

1248

391.70

10:42:22

XLON

2015

391.70

10:42:22

XLON

7

391.40

10:50:04

XLON

287

391.40

10:50:04

XLON

413

391.40

10:50:04

XLON

416

391.40

10:50:04

XLON

588

391.40

10:50:04

XLON

800

391.40

10:50:04

XLON

66

390.90

10:51:27

XLON

891

390.90

10:51:27

XLON

791

390.00

11:03:45

XLON

1272

390.00

11:03:45

XLON

2952

390.00

11:03:45

XLON

363

389.70

11:08:03

XLON

1366

389.70

11:08:03

XLON

1974

389.60

11:14:57

XLON

1571

389.40

11:20:30

XLON

1684

389.80

11:26:17

XLON

1339

389.80

11:29:33

XLON

1478

389.80

11:35:30

XLON

496

389.60

11:40:16

XLON

857

389.60

11:40:16

XLON

115

389.90

11:42:59

XLON

900

389.90

11:42:59

XLON

812

389.90

11:43:37

XLON

1400

389.60

11:49:21

XLON

1400

389.90

11:56:23

XLON

921

389.60

12:02:17

XLON

82

389.40

12:02:27

XLON

2469

389.40

12:02:27

XLON

284

389.00

12:05:08

XLON

2202

389.00

12:05:08

XLON

1334

390.20

12:15:39

XLON

1269

390.20

12:23:58

XLON

1283

390.20

12:23:58

XLON

498

390.00

12:29:22

XLON

973

390.00

12:29:22

XLON

1428

390.10

12:31:36

XLON

1237

390.00

12:35:27

XLON

1369

390.00

12:41:59

XLON

129

390.00

12:47:17

XLON

836

390.00

12:47:17

XLON

546

390.00

12:51:09

XLON

629

390.00

12:52:11

XLON

984

389.90

12:55:16

XLON

1595

389.90

13:02:54

XLON

168

390.00

13:12:30

XLON

682

390.00

13:12:30

XLON

700

390.00

13:12:30

XLON

382

390.00

13:15:49

XLON

422

390.00

13:15:49

XLON

575

390.00

13:15:49

XLON

1118

390.00

13:15:49

XLON

41

390.00

13:27:57

XLON

1037

390.30

13:31:16

XLON

2160

390.90

13:39:43

XLON

11

390.80

13:43:28

XLON

375

390.80

13:43:28

XLON

400

390.80

13:43:28

XLON

700

390.80

13:43:28

XLON

1967

390.80

13:43:28

XLON

2802

390.80

13:43:28

XLON

678

390.50

13:45:42

XLON

1064

390.50

13:45:42

XLON

25

390.50

14:00:16

XLON

207

390.50

14:01:15

XLON

305

390.50

14:01:15

XLON

449

390.50

14:01:15

XLON

783

390.50

14:01:15

XLON

800

390.50

14:01:15

XLON

817

390.50

14:01:15

XLON

995

390.50

14:01:15

XLON

1151

390.50

14:01:15

XLON

200

391.00

14:06:30

XLON

229

391.00

14:06:30

XLON

1015

391.00

14:06:30

XLON

92

390.90

14:12:04

XLON

2119

390.90

14:12:04

XLON

1838

391.10

14:17:34

XLON

783

391.00

14:24:34

XLON

817

391.00

14:24:34

XLON

1385

391.00

14:24:34

XLON

1394

391.00

14:24:34

XLON

76

390.60

14:29:53

XLON

2910

390.60

14:29:53

XLON

608

389.70

14:37:27

XLON

671

389.70

14:37:27

XLON

682

389.70

14:37:27

XLON

226

389.90

14:44:46

XLON

399

389.90

14:44:46

XLON

1342

389.90

14:44:46

XLON

2001

389.90

14:44:46

XLON

2680

389.70

14:49:35

XLON

152

390.10

14:55:55

XLON

514

390.10

14:55:55

XLON

572

390.10

14:55:55

XLON

1400

390.10

14:55:55

XLON

1532

390.10

14:59:44

XLON

2013

390.10

14:59:44

XLON

120

391.40

15:18:58

XLON

560

391.30

15:18:58

XLON

842

391.40

15:18:58

XLON

1600

391.40

15:18:58

XLON

1389

391.30

15:18:59

XLON

22

391.60

15:22:06

XLON

23

391.60

15:22:06

XLON

28

391.60

15:22:06

XLON

41

391.60

15:22:06

XLON

319

391.60

15:22:06

XLON

650

391.60

15:22:06

XLON

797

391.60

15:22:06

XLON

400

391.70

15:22:39

XLON

977

391.70

15:22:39

XLON

1400

391.70

15:22:39

XLON

21

391.70

15:23:29

XLON

978

391.60

15:30:54

XLON

1456

391.60

15:30:54

XLON

1754

391.60

15:30:54

XLON

2018

391.60

15:30:54

XLON

2916

391.60

15:30:54

XLON

219

391.10

15:34:47

XLON

2285

391.10

15:34:47

XLON

1403

391.00

15:40:17

XLON

2009

391.00

15:40:17

XLON

25

390.70

15:43:35

XLON

2531

390.70

15:43:35

XLON

31

390.90

15:48:44

XLON

1192

390.90

15:48:46

XLON

189

391.00

15:54:09

XLON

400

391.00

15:54:09

XLON

461

391.00

15:54:09

XLON

700

391.00

15:54:09

XLON

717

391.00

15:54:09

XLON

2845

391.00

15:54:09

XLON

1921

391.60

16:01:03

XLON

2002

391.60

16:01:03

XLON

1989

392.10

16:03:48

XLON

11

392.10

16:03:49

XLON

94

392.10

16:04:32

XLON

1267

392.10

16:04:32

XLON

1068

391.90

16:11:34

XLON

1280

391.90

16:11:34

XLON

1600

391.90

16:11:34

XLON

1512

391.90

16:11:35

XLON

905

391.40

16:15:02

XLON

1333

391.40

16:15:02

XLON

417

391.40

16:15:03

XLON

1761

391.20

16:17:21

XLON

3

391.40

16:20:12

XLON

2013

391.40

16:20:12

XLON

840

391.60

16:21:23

XLON

101

392.20

16:24:04

XLON

317

392.20

16:24:04

XLON

453

392.20

16:24:04

XLON

850

392.20

16:24:04

XLON

1904

392.20

16:24:04

XLON

307

392.10

16:25:05

XLON

2017

392.10

16:25:05

XLON

65

391.80

16:27:40

XLON

65

391.80

16:27:40

XLON

108

391.80

16:27:40

XLON

121

391.80

16:27:40

XLON

500

391.80

16:27:40

XLON

511

391.80

16:27:40

XLON

10

392.30

16:35:25

XLON

 


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