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LSL Property Services plc purchased 15,000 of its own ordinary shares on the London Stock Exchange on 12 June 2025 through its broker Deutsche Numis, at an average price of GBp 298.3055, with prices ranging from GBp 293.0000 to GBp 301.0000. This transaction forms part of the company's existing share buyback programme; LSL now holds 1,888,761 ordinary shares in treasury, with 103,270,189 ordinary shares in issue with voting rights.
| Date | 12 Jun 2025 |
| Time | 17:03:18 |
| Category | Capital structure |
| ID | 6653M |
12 June 2025
LSL Property Services plc ("LSL" or "the Company")
Transaction in own shares
LSL Property Services 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, through the Company's broker Numis Securities Limited ("Deutsche Numis"):
Ordinary shares
|
Date of purchase |
12 June 2025 |
|
Total number of shares purchased: |
15,000 |
|
Average price paid per share: |
GBp 298.3055 |
|
Highest price paid per share: |
GBp 301.0000 |
|
Lowest price paid per share: |
GBp 293.0000 |
Such purchases form part of the Company's existing share buyback programme announced on 25 April 2024 and were effected pursuant to the renewed instructions issued to Deutsche Numis by the Company on 29 May 2025, as announced on that date.
The repurchased shares will be held in treasury. Following the repurchase of these ordinary shares, the Company holds 1,888,761 of its ordinary shares in treasury and has 103,270,1891 ordinary shares in issue (excluding treasury shares) with voting rights. To the extent that further ordinary shares are repurchased under the programme, these will also be held in treasury.
In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), the detailed breakdown of individual trades made by Deutsche Numis on behalf of the Company as part of the share buyback programme is set out below.
For further information, please contact:
Debbie Fish, Company Secretary
|
Number of ordinary shares purchased |
Transaction price |
Time of transaction (UK Time) |
Transaction reference number |
Trading venue |
|
150 |
301.00 |
08:11:50 |
00075752815TRLO0 |
XLON |
|
807 |
300.00 |
11:54:12 |
00075757714TRLO0 |
XLON |
|
1 |
301.00 |
11:56:42 |
00075757792TRLO0 |
XLON |
|
368 |
301.00 |
11:56:42 |
00075757791TRLO0 |
XLON |
|
68 |
301.00 |
12:08:37 |
00075758099TRLO0 |
XLON |
|
25 |
301.00 |
12:34:35 |
00075758522TRLO0 |
XLON |
|
709 |
301.00 |
12:38:47 |
00075758643TRLO0 |
XLON |
|
27 |
301.00 |
12:38:47 |
00075758644TRLO0 |
XLON |
|
2 |
301.00 |
12:38:47 |
00075758645TRLO0 |
XLON |
|
609 |
301.00 |
12:39:46 |
00075758657TRLO0 |
XLON |
|
13 |
301.00 |
12:54:55 |
00075758957TRLO0 |
XLON |
|
25 |
301.00 |
12:54:55 |
00075758956TRLO0 |
XLON |
|
609 |
301.00 |
12:54:55 |
00075758955TRLO0 |
XLON |
|
2 |
301.00 |
12:54:55 |
00075758958TRLO0 |
XLON |
|
434 |
301.00 |
13:09:39 |
00075759282TRLO0 |
XLON |
|
175 |
301.00 |
13:09:39 |
00075759281TRLO0 |
XLON |
|
400 |
301.00 |
13:09:39 |
00075759283TRLO0 |
XLON |
|
708 |
301.00 |
13:14:43 |
00075759361TRLO0 |
XLON |
|
27 |
301.00 |
13:14:43 |
00075759360TRLO0 |
XLON |
|
284 |
299.00 |
14:03:00 |
00075760751TRLO0 |
XLON |
|
25 |
299.00 |
14:11:01 |
00075761041TRLO0 |
XLON |
|
99 |
299.00 |
14:14:31 |
00075761115TRLO0 |
XLON |
|
510 |
299.00 |
14:14:31 |
00075761114TRLO0 |
XLON |
|
25 |
299.00 |
14:22:59 |
00075761276TRLO0 |
XLON |
|
609 |
299.00 |
14:25:17 |
00075761321TRLO0 |
XLON |
|
21 |
299.00 |
14:27:45 |
00075761371TRLO0 |
XLON |
|
29 |
299.00 |
14:27:45 |
00075761370TRLO0 |
XLON |
|
25 |
299.00 |
14:27:45 |
00075761372TRLO0 |
XLON |
|
645 |
299.00 |
14:29:04 |
00075761395TRLO0 |
XLON |
|
56 |
299.00 |
14:29:04 |
00075761396TRLO0 |
XLON |
|
3 |
299.00 |
14:29:04 |
00075761397TRLO0 |
XLON |
|
641 |
299.00 |
14:31:30 |
00075761458TRLO0 |
XLON |
|
189 |
299.00 |
14:31:30 |
00075761459TRLO0 |
XLON |
|
776 |
298.00 |
14:53:10 |
00075762244TRLO0 |
XLON |
|
1081 |
296.00 |
14:53:10 |
00075762245TRLO0 |
XLON |
|
639 |
293.00 |
15:01:20 |
00075762492TRLO0 |
XLON |
|
70 |
293.00 |
15:08:17 |
00075762778TRLO0 |
XLON |
|
114 |
293.00 |
15:08:17 |
00075762777TRLO0 |
XLON |
|
260 |
293.00 |
15:08:17 |
00075762776TRLO0 |
XLON |
|
35 |
293.00 |
15:08:17 |
00075762779TRLO0 |
XLON |
|
382 |
293.00 |
15:16:30 |
00075763073TRLO0 |
XLON |
|
88 |
294.00 |
15:39:45 |
00075763952TRLO0 |
XLON |
|
638 |
297.00 |
15:46:30 |
00075764279TRLO0 |
XLON |
|
662 |
297.00 |
15:59:50 |
00075764925TRLO0 |
XLON |
|
1935 |
297.00 |
16:02:30 |
00075765062TRLO0 |
XLON |
1 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, the Company under the FCA's Disclosure Guidance and Transparency Rules.
LEI: 213800T4VM5VR3C7S706