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Baltic Classifieds Group PLC announced on 22 November 2023 that it purchased 35,829 of its ordinary shares for cancellation on 21 November 2023 through Merrill Lynch International. The shares were acquired at an average price of 215.6159p per share, with a highest price of 218.0000p and a lowest price of 209.0000p. Following this transaction, the company has 493,324,497 ordinary shares in issue and no shares in treasury.
| Date | 22 Nov 2023 |
| Time | 07:00:09 |
| Category | Capital structure |
| ID | 2031U |
22 November 2023
Baltic Classifieds Group PLC
(the "Company")
Baltic Classifieds Group PLC Transaction in Own Shares
Baltic Classifieds Group PLC announces that on 21 November 2023 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 215.6159p per share:
Number of ordinary shares purchased: 35,829
Highest purchase price paid per share: 218.0000p
Lowest purchase price paid per share: 209.0000p
Following the above transaction, the Company has 493,324,497 ordinary shares in issue and does not hold any ordinary shares in treasury. Therefore the total number of voting rights in the Company is 493,324,497 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, Baltic Classifieds 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
Baltic Classifieds Group PLC
Company Secretary: [email protected]
Baltic Classifieds Group PLC LEI: 213800I1RPHCFSSQS969
Schedule of Purchases - Individual Transactions
|
Number of shares purchased |
Transaction price (pence per share) |
Time of transaction |
Execution venue |
|
206 |
209.00 |
09:02:44 |
XLON |
|
91 |
210.50 |
09:47:06 |
XLON |
|
109 |
210.50 |
09:47:11 |
XLON |
|
98 |
210.50 |
09:47:16 |
XLON |
|
104 |
210.50 |
09:47:20 |
XLON |
|
107 |
210.50 |
09:47:24 |
XLON |
|
91 |
210.50 |
09:47:28 |
XLON |
|
100 |
210.50 |
09:47:32 |
XLON |
|
95 |
210.50 |
10:17:05 |
XLON |
|
62 |
210.50 |
10:17:10 |
XLON |
|
278 |
210.50 |
10:30:00 |
XLON |
|
105 |
210.50 |
10:30:00 |
XLON |
|
107 |
210.50 |
10:30:05 |
XLON |
|
4 |
210.50 |
10:31:35 |
XLON |
|
108 |
210.50 |
10:31:39 |
XLON |
|
107 |
210.50 |
10:31:44 |
XLON |
|
93 |
210.50 |
10:31:47 |
XLON |
|
91 |
210.50 |
10:31:51 |
XLON |
|
102 |
210.50 |
10:31:56 |
XLON |
|
95 |
210.50 |
10:32:01 |
XLON |
|
109 |
210.50 |
10:32:05 |
XLON |
|
94 |
210.50 |
10:32:10 |
XLON |
|
106 |
210.50 |
10:32:14 |
XLON |
|
103 |
210.50 |
10:32:19 |
XLON |
|
75 |
210.50 |
10:44:49 |
XLON |
|
1,191 |
212.00 |
11:17:03 |
XLON |
|
897 |
212.00 |
11:17:07 |
XLON |
|
688 |
212.00 |
11:17:07 |
XLON |
|
669 |
212.00 |
11:17:07 |
XLON |
|
857 |
216.00 |
11:38:36 |
XLON |
|
1,056 |
216.00 |
11:38:36 |
XLON |
|
296 |
215.00 |
11:38:37 |
XLON |
|
155 |
215.00 |
11:38:37 |
XLON |
|
329 |
216.00 |
12:27:59 |
XLON |
|
781 |
216.00 |
12:27:59 |
XLON |
|
426 |
217.00 |
13:21:03 |
XLON |
|
11 |
216.00 |
14:00:28 |
XLON |
|
135 |
216.00 |
14:00:28 |
CHIX |
|
24 |
216.00 |
14:00:28 |
XLON |
|
166 |
216.00 |
14:00:28 |
XLON |
|
163 |
215.50 |
14:00:29 |
CHIX |
|
361 |
215.50 |
14:00:29 |
XLON |
|
13 |
215.50 |
14:00:29 |
CHIX |
|
61 |
215.50 |
14:00:29 |
XLON |
|
161 |
215.50 |
14:00:29 |
XLON |
|
319 |
215.50 |
14:00:29 |
XLON |
|
670 |
215.50 |
14:02:51 |
XLON |
|
702 |
216.00 |
14:24:59 |
XLON |
|
575 |
218.00 |
15:13:41 |
XLON |
|
88 |
218.00 |
15:13:41 |
XLON |
|
475 |
217.00 |
15:28:29 |
XLON |
|
61 |
217.00 |
15:28:29 |
CHIX |
|
69 |
218.00 |
16:00:59 |
XLON |
|
306 |
218.00 |
16:00:59 |
XLON |
|
449 |
217.50 |
16:01:14 |
XLON |
|
119 |
218.00 |
16:15:36 |
XLON |
|
1,176 |
218.00 |
16:15:36 |
XLON |
|
1,974 |
216.50 |
16:35:14 |
XLON |
|
3,303 |
216.50 |
16:35:14 |
XLON |
|
2,093 |
216.50 |
16:35:14 |
XLON |
|
3,475 |
216.50 |
16:35:14 |
XLON |
|
1,022 |
216.50 |
16:35:14 |
XLON |
|
445 |
216.50 |
16:35:14 |
XLON |
|
485 |
216.50 |
16:35:14 |
XLON |
|
96 |
216.50 |
16:35:14 |
XLON |
|
2,482 |
216.50 |
16:35:14 |
XLON |
|
326 |
216.50 |
16:35:14 |
XLON |
|
52 |
216.50 |
16:35:14 |
XLON |
|
458 |
216.50 |
16:35:14 |
XLON |
|
2,197 |
216.50 |
16:35:14 |
XLON |
|
194 |
216.50 |
16:35:14 |
XLON |
|
1,138 |
216.50 |
16:35:14 |
XLON |
Schedule of Purchases - Aggregated by each trading venue
|
Venue |
Weighted average price paid per share (pence) |
Aggregate number of shares purchased |
Lowest price paid per share (pence) |
Highest price paid per share (pence) |
|
London Stock Exchange |
215.6126 |
35,457 |
209.0000 |
218.0000 |
|
Chi-X (CXE) |
215.9274 |
372 |
215.5000 |
217.0000 |