Transaction in Own Shares

22 ndNovember 2024 PayPoint plc ("PayPoint" or the "Company") Transaction in Own SharesThe Company announces today it has purchased the following number of its ordinary shares of £0.00333 each through Investec Bank plc (“Investec”).   Ordinary Shares Date of purchase:21 stNovember 2024Aggregate number of ordinary shares purchased:20,397Lowest price per share (pence):782.00Highest price per share (pence):800.00Weighted average price per day (pence):...
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WELWYN GARDEN CITY, (informazione.it - comunicati stampa - economia)

22nd November 2024

PayPoint plc

("PayPoint" or the "Company")

Transaction in Own Shares

The Company announces today it has purchased the following number of its ordinary shares of £0.00333 each through Investec Bank plc (“Investec”).  

Ordinary Shares

Date of purchase: 21st November 2024
Aggregate number of ordinary shares purchased: 20,397
Lowest price per share (pence): 782.00
Highest price per share (pence): 800.00
Weighted average price per day (pence): 794.1667

The Company intends to cancel the purchased shares.

As of the date of this announcement, the Company's share capital consists of 71,858,565 ordinary shares of 1/3 pence each. Each ordinary share carries the right to one vote in relation to all circumstances at general meetings of the Company. The Company does not hold any shares in Treasury.

The above figure of 71,858,565 may be used by shareholders and others with notification obligations 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, the Company under the FCA's Disclosure Guidance and Transparency Rules.

The table below contains detailed information about the purchases made as part of the buyback programme.

Aggregate information:

Venue Volume-weighted average price (p) Aggregated volume Lowest price per share (p) Highest price per share (p)
XLON 794.1667 20,397 782.00 800.00

Individual Transactions

In accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No 596/2014 as it forms part of UK law, a full breakdown of the individual trades made by Investec on behalf of the Company as part of the Programme is detailed below:

Date and time of each trade Number of shares purchased Price (pence per share) Trading Venue Transaction Reference Number
21 November 2024 14:12:22 94 800.00 XLON 00311507108TRLO1
21 November 2024 14:12:22 500 800.00 XLON 00311507109TRLO1
21 November 2024 14:15:24 104 796.00 XLON 00311507267TRLO1
21 November 2024 14:17:26 9,500 800.00 XLON 00311507358TRLO1
21 November 2024 14:20:22 62 800.00 XLON 00311507469TRLO1
21 November 2024 14:20:22 39 800.00 XLON 00311507470TRLO1
21 November 2024 14:21:00 32 800.00 XLON 00311507506TRLO1
21 November 2024 14:21:00 93 800.00 XLON 00311507507TRLO1
21 November 2024 14:21:05 102 792.00 XLON 00311507511TRLO1
21 November 2024 14:25:35 100 792.00 XLON 00311507782TRLO1
21 November 2024 14:25:35 96 790.00 XLON 00311507784TRLO1
21 November 2024 14:30:39 51 792.00 XLON 00311508286TRLO1
21 November 2024 14:35:29 54 792.00 XLON 00311508638TRLO1
21 November 2024 14:35:29 55 792.00 XLON 00311508639TRLO1
21 November 2024 14:35:29 54 792.00 XLON 00311508640TRLO1
21 November 2024 14:35:29 98 792.00 XLON 00311508641TRLO1
21 November 2024 14:35:29 150 789.00 XLON 00311508642TRLO1
21 November 2024 14:35:29 21 789.00 XLON 00311508643TRLO1
21 November 2024 14:35:29 21 789.00 XLON 00311508644TRLO1
21 November 2024 14:52:29 1 790.00 XLON 00311509685TRLO1
21 November 2024 14:52:29 72 791.00 XLON 00311509686TRLO1
21 November 2024 14:52:29 62 791.00 XLON 00311509687TRLO1
21 November 2024 14:52:29 61 791.00 XLON 00311509688TRLO1
21 November 2024 14:52:29 62 791.00 XLON 00311509689TRLO1
21 November 2024 14:52:30 103 790.00 XLON 00311509690TRLO1
21 November 2024 14:52:30 95 788.00 XLON 00311509691TRLO1
21 November 2024 15:03:42 61 791.00 XLON 00311510417TRLO1
21 November 2024 15:03:42 51 791.00 XLON 00311510418TRLO1
21 November 2024 15:06:29 76 790.00 XLON 00311510496TRLO1
21 November 2024 15:06:29 19 790.00 XLON 00311510497TRLO1
21 November 2024 15:12:39 102 788.00 XLON 00311510742TRLO1
21 November 2024 15:12:39 101 788.00 XLON 00311510743TRLO1
21 November 2024 15:12:39 101 788.00 XLON 00311510744TRLO1
21 November 2024 15:12:39 29 790.00 XLON 00311510745TRLO1
21 November 2024 15:12:39 74 790.00 XLON 00311510746TRLO1
21 November 2024 15:12:39 47 790.00 XLON 00311510747TRLO1
21 November 2024 15:12:39 61 790.00 XLON 00311510748TRLO1
21 November 2024 15:12:39 62 790.00 XLON 00311510749TRLO1
21 November 2024 15:12:39 47 790.00 XLON 00311510750TRLO1
21 November 2024 15:12:39 295 789.00 XLON 00311510751TRLO1
21 November 2024 15:12:42 297 789.00 XLON 00311510761TRLO1
21 November 2024 15:12:42 46 790.00 XLON 00311510762TRLO1
21 November 2024 15:12:42 61 790.00 XLON 00311510763TRLO1
21 November 2024 15:12:42 56 790.00 XLON 00311510764TRLO1
21 November 2024 15:12:42 48 790.00 XLON 00311510765TRLO1
21 November 2024 15:20:12 99 791.00 XLON 00311511208TRLO1
21 November 2024 15:23:57 96 791.00 XLON 00311511390TRLO1
21 November 2024 15:23:57 95 791.00 XLON 00311511391TRLO1
21 November 2024 15:33:39 301 793.00 XLON 00311511869TRLO1
21 November 2024 15:33:39 51 793.00 XLON 00311511870TRLO1
21 November 2024 15:33:39 57 793.00 XLON 00311511871TRLO1
21 November 2024 15:33:39 53 793.00 XLON 00311511872TRLO1
21 November 2024 15:34:02 12 794.00 XLON 00311511877TRLO1
21 November 2024 15:34:02 23 794.00 XLON 00311511878TRLO1
21 November 2024 15:34:02 58 794.00 XLON 00311511879TRLO1
21 November 2024 15:35:39 199 794.00 XLON 00311511934TRLO1
21 November 2024 15:48:28 97 795.00 XLON 00311512650TRLO1
21 November 2024 15:51:27 99 795.00 XLON 00311512758TRLO1
21 November 2024 15:51:28 101 794.00 XLON 00311512760TRLO1
21 November 2024 15:51:42 95 793.00 XLON 00311512762TRLO1
21 November 2024 15:51:42 188 793.00 XLON 00311512763TRLO1
21 November 2024 15:52:02 101 791.00 XLON 00311512775TRLO1
21 November 2024 15:52:05 58 791.00 XLON 00311512780TRLO1
21 November 2024 15:52:34 409 790.00 XLON 00311512874TRLO1
21 November 2024 15:52:34 39 790.00 XLON 00311512875TRLO1
21 November 2024 15:52:34 96 788.00 XLON 00311512876TRLO1
21 November 2024 15:52:34 59 789.00 XLON 00311512877TRLO1
21 November 2024 15:53:34 59 788.00 XLON 00311512919TRLO1
21 November 2024 15:53:34 42 788.00 XLON 00311512920TRLO1
21 November 2024 15:53:34 56 790.00 XLON 00311512921TRLO1
21 November 2024 15:53:34 62 790.00 XLON 00311512922TRLO1
21 November 2024 15:53:34 54 790.00 XLON 00311512923TRLO1
21 November 2024 15:53:34 38 789.00 XLON 00311512924TRLO1
21 November 2024 15:53:34 29 789.00 XLON 00311512925TRLO1
21 November 2024 15:53:34 29 789.00 XLON 00311512926TRLO1
21 November 2024 15:55:08 3 788.00 XLON 00311513064TRLO1
21 November 2024 15:55:08 98 788.00 XLON 00311513065TRLO1
21 November 2024 15:55:08 94 788.00 XLON 00311513066TRLO1
21 November 2024 15:55:11 199 786.00 XLON 00311513078TRLO1
21 November 2024 16:03:21 297 783.00 XLON 00311513735TRLO1
21 November 2024 16:07:20 291 782.00 XLON 00311514013TRLO1
21 November 2024 16:07:20 96 782.00 XLON 00311514014TRLO1
21 November 2024 16:07:20 21 783.00 XLON 00311514015TRLO1
21 November 2024 16:07:20 50 783.00 XLON 00311514016TRLO1
21 November 2024 16:07:20 167 782.00 XLON 00311514017TRLO1
21 November 2024 16:08:04 93 782.00 XLON 00311514073TRLO1
21 November 2024 16:08:04 40 782.00 XLON 00311514074TRLO1
21 November 2024 16:08:04 71 782.00 XLON 00311514075TRLO1
21 November 2024 16:08:04 195 782.00 XLON 00311514076TRLO1
21 November 2024 16:08:36 111 782.00 XLON 00311514101TRLO1
21 November 2024 16:08:36 288 782.00 XLON 00311514102TRLO1
21 November 2024 16:08:36 10 783.00 XLON 00311514103TRLO1
21 November 2024 16:08:36 14 783.00 XLON 00311514104TRLO1
21 November 2024 16:09:11 54 785.00 XLON 00311514180TRLO1
21 November 2024 16:09:11 60 785.00 XLON 00311514181TRLO1
21 November 2024 16:09:11 52 785.00 XLON 00311514182TRLO1
21 November 2024 16:09:12 57 785.00 XLON 00311514183TRLO1
21 November 2024 16:09:12 54 785.00 XLON 00311514184TRLO1
21 November 2024 16:09:12 61 785.00 XLON 00311514185TRLO1
21 November 2024 16:18:35 203 785.00 XLON 00311514910TRLO1
21 November 2024 16:18:35 27 786.00 XLON 00311514911TRLO1
21 November 2024 16:18:35 51 786.00 XLON 00311514912TRLO1
21 November 2024 16:18:35 62 786.00 XLON 00311514913TRLO1
21 November 2024 16:22:32 396 786.00 XLON 00311515169TRLO1
21 November 2024 16:22:32 99 786.00 XLON 00311515170TRLO1
21 November 2024 16:22:35 500 786.00 XLON 00311515172TRLO1
21 November 2024 16:22:38 40 787.00 XLON 00311515179TRLO1
21 November 2024 16:22:38 62 787.00 XLON 00311515180TRLO1
21 November 2024 16:22:38 56 787.00 XLON 00311515181TRLO1
21 November 2024 16:23:10 55 787.00 XLON 00311515218TRLO1
21 November 2024 16:23:10 54 787.00 XLON 00311515219TRLO1
21 November 2024 16:23:10 56 787.00 XLON 00311515220TRLO1
21 November 2024 16:28:48 95 788.00 XLON 00311515597TRLO1
21 November 2024 16:28:48 94 788.00 XLON 00311515598TRLO1

For further information please contact:

PayPoint plc
Nick Wiles, Chief Executive Officer
Mobile: 07442 968960
Rob Harding, Chief Financial Officer
Mobile: 07525 707970

FGS Global
Rollo Head
James Thompson
Telephone: 0207 251 3801

Investec Bank plc
Carlton Nelson
Henry Reast
Telephone: 0207 597 5970


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