Source - LSE Regulatory
RNS Number : 5254U
Auto Trader Group plc
23 November 2023
 

 

23 November 2023

Auto Trader Group plc ("Auto Trader" or the "Company")

Auto Trader Group plc Transaction in Own Shares

 

Auto Trader Group plc (the "Company") announces that on 23 November 2023 it purchased through Deutsche Numis the following number of its ordinary shares for Cancellation at an average price of 701.0404p per share:

 

Number of ordinary shares purchased:

250,610

Highest purchase price paid per share:

705.60p

Lowest purchase price paid per share:

696.80p

 

 

Following the above transaction, the Company has 915,330,590 ordinary shares in issue and holds 3,829,009 ordinary shares in treasury. Therefore the total number of voting rights in the Company is 911,501,581 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 Deutsche Numis on behalf of the Company as part of the buyback programme.

Enquiries:

Auto Trader Group plc
Claire Baty, Company Secretary

0345 111 0006

 


 

Schedule of Purchases - Individual Transactions

 

Number of ordinary shares purchased

Transaction price
(GBp share)

Time of transaction (UK Time)

Trading venue

554

699.80

 08:07:15

XLON

429

699.80

 08:07:15

XLON

1101

702.80

 08:12:16

XLON

480

703.00

 08:12:16

XLON

1060

702.80

 08:13:41

XLON

704

701.80

 08:14:06

XLON

296

701.80

 08:14:06

XLON

783

702.40

 08:14:36

XLON

136

702.40

 08:14:36

XLON

1123

702.00

 08:14:54

XLON

968

701.40

 08:14:54

XLON

923

700.80

 08:15:04

XLON

1059

701.00

 08:17:14

XLON

13

701.00

 08:17:14

XLON

800

702.40

 08:20:06

XLON

1108

703.00

 08:22:48

XLON

1273

703.00

 08:22:48

XLON

1030

701.60

 08:23:32

XLON

1021

701.60

 08:23:32

XLON

1023

701.00

 08:25:53

XLON

971

700.60

 08:26:56

XLON

1006

700.20

 08:27:06

XLON

387

700.60

 08:27:28

XLON

705

700.60

 08:27:28

XLON

398

700.00

 08:29:02

XLON

649

700.00

 08:29:02

XLON

1021

700.80

 08:31:22

XLON

1125

700.60

 08:31:22

XLON

981

701.40

 08:34:35

XLON

659

702.60

 08:37:31

XLON

521

702.60

 08:37:31

XLON

970

703.20

 08:41:40

XLON

483

703.20

 08:41:40

XLON

269

703.20

 08:41:40

XLON

337

703.20

 08:41:40

XLON

42

703.20

 08:41:40

XLON

50

703.20

 08:41:40

XLON

257

703.20

 08:41:40

XLON

735

703.20

 08:41:40

XLON

1026

702.60

 08:42:40

XLON

238

702.40

 08:42:41

XLON

637

702.40

 08:42:41

XLON

60

702.40

 08:42:41

XLON

274

703.80

 08:49:08

XLON

337

703.80

 08:49:08

XLON

1110

703.60

 08:49:24

XLON

600

703.60

 08:49:24

XLON

337

703.60

 08:49:24

XLON

1109

705.60

 08:55:58

XLON

48

705.60

 08:57:50

XLON

800

705.60

 08:57:50

XLON

253

705.60

 08:57:50

XLON

1082

705.60

 08:59:05

XLON

95

705.60

 08:59:18

XLON

326

705.60

 08:59:18

XLON

1057

705.60

 09:01:41

XLON

193

705.40

 09:02:43

XLON

909

705.40

 09:02:43

XLON

964

703.80

 09:04:02

XLON

943

703.40

 09:07:04

XLON

800

702.80

 09:11:56

XLON

304

702.80

 09:11:56

XLON

267

701.60

 09:15:08

XLON

684

701.60

 09:15:08

XLON

327

701.60

 09:17:02

XLON

761

701.60

 09:17:02

XLON

369

700.00

 09:52:08

XLON

702

700.00

 09:52:08

XLON

1118

700.00

 09:54:55

XLON

1024

699.80

 09:57:20

XLON

673

699.60

 09:59:21

XLON

265

699.60

 09:59:21

XLON

482

699.60

 10:01:55

XLON

647

699.60

 10:03:15

XLON

11

699.60

 10:03:15

XLON

979

699.20

 10:05:00

XLON

126

699.20

 10:05:00

XLON

60225

699.40

 10:05:20

XLON

84

699.20

 10:06:42

XLON

800

699.20

 10:06:42

XLON

107

699.20

 10:06:42

XLON

1105

699.00

 10:10:02

XLON

131

699.00

 10:14:21

XLON

281

699.00

 10:14:21

XLON

95

699.00

 10:14:21

XLON

95

699.00

 10:14:21

XLON

275

699.00

 10:14:21

XLON

1026

699.00

 10:16:21

XLON

304

699.00

 10:17:26

XLON

116

698.80

 10:17:46

XLON

132

698.80

 10:17:46

XLON

746

698.80

 10:17:46

XLON

318

696.80

 10:19:40

XLON

436

698.00

 10:23:12

XLON

519

698.00

 10:23:12

XLON

1084

698.20

 10:30:33

XLON

1124

697.60

 10:30:37

XLON

1126

698.40

 10:39:07

XLON

979

698.40

 10:40:17

XLON

1071

698.60

 10:45:05

XLON

914

698.80

 10:47:50

XLON

483

698.40

 10:51:18

XLON

475

698.40

 10:51:18

XLON

934

699.00

 10:58:03

XLON

1114

700.20

 11:01:02

XLON

75

699.40

 11:06:08

XLON

314

699.40

 11:06:44

XLON

618

699.40

 11:06:44

XLON

1012

699.80

 11:14:06

XLON

1125

699.80

 11:16:40

XLON

1079

699.60

 11:23:01

XLON

547

699.40

 11:31:40

XLON

521

699.40

 11:31:40

XLON

598

699.20

 11:32:27

XLON

374

699.20

 11:32:27

XLON

1019

699.40

 11:43:02

XLON

500

699.60

 11:44:07

XLON

1063

699.40

 11:45:23

XLON

1065

698.80

 11:51:22

XLON

378

698.20

 11:55:15

XLON

944

698.60

 11:58:34

XLON

1056

699.20

 12:00:06

XLON

450

699.40

 12:07:08

XLON

136

699.40

 12:07:57

XLON

1075

699.80

 12:10:20

XLON

120

699.80

 12:12:00

XLON

46

700.00

 12:15:51

XLON

95

700.00

 12:15:51

XLON

1114

700.00

 12:17:47

XLON

532

700.60

 12:22:02

XLON

602

700.60

 12:22:02

XLON

498

700.60

 12:26:00

XLON

431

700.60

 12:26:00

XLON

203

700.40

 12:31:20

XLON

881

700.40

 12:31:20

XLON

1055

700.20

 12:34:12

XLON

1004

700.20

 12:42:16

XLON

353

700.20

 12:48:20

XLON

573

700.20

 12:48:20

XLON

1110

700.00

 12:50:16

XLON

953

700.00

 12:56:13

XLON

1047

699.80

 12:59:47

XLON

241

700.40

 13:03:11

XLON

115

700.40

 13:03:11

XLON

95

700.40

 13:03:11

XLON

157

700.40

 13:03:11

XLON

983

699.80

 13:05:35

XLON

1052

700.20

 13:10:53

XLON

95

700.20

 13:12:53

XLON

121

700.20

 13:12:53

XLON

965

700.60

 13:17:12

XLON

240

700.20

 13:19:05

XLON

705

700.20

 13:19:05

XLON

1119

700.60

 13:21:23

XLON

600

700.80

 13:31:23

XLON

115

700.80

 13:31:23

XLON

989

700.80

 13:32:21

XLON

675

700.80

 13:34:21

XLON

442

700.80

 13:34:21

XLON

552

700.80

 13:34:21

XLON

600

700.80

 13:34:21

XLON

600

700.80

 13:34:21

XLON

919

701.00

 13:35:50

XLON

975

700.80

 13:43:14

XLON

483

701.00

 13:43:14

XLON

118

701.00

 13:43:14

XLON

237

701.00

 13:43:14

XLON

95

701.00

 13:43:14

XLON

936

700.80

 13:44:24

XLON

929

701.40

 13:49:22

XLON

1037

702.00

 13:55:17

XLON

1034

701.80

 13:55:26

XLON

433

701.60

 13:57:51

XLON

593

701.60

 13:57:51

XLON

800

701.80

 14:04:41

XLON

133

701.80

 14:04:41

XLON

120

701.80

 14:04:41

XLON

1068

701.60

 14:04:43

XLON

95

701.80

 14:05:01

XLON

305

701.80

 14:05:01

XLON

80

701.60

 14:07:33

XLON

571

701.60

 14:07:33

XLON

451

701.60

 14:07:33

XLON

1115

701.60

 14:09:37

XLON

962

701.20

 14:12:45

XLON

606

701.60

 14:20:36

XLON

94

701.60

 14:20:36

XLON

432

701.60

 14:20:36

XLON

618

701.40

 14:21:45

XLON

64

701.40

 14:21:45

XLON

452

701.40

 14:21:45

XLON

868

701.60

 14:24:39

XLON

112

701.60

 14:24:39

XLON

684

701.40

 14:24:45

XLON

456

701.40

 14:24:45

XLON

131

701.80

 14:31:16

XLON

964

701.80

 14:31:16

XLON

95

701.80

 14:31:51

XLON

143

701.80

 14:31:51

XLON

145

701.80

 14:31:51

XLON

483

701.80

 14:31:51

XLON

483

701.80

 14:31:51

XLON

610

701.80

 14:31:51

XLON

113

701.60

 14:32:59

XLON

482

701.60

 14:32:59

XLON

378

701.60

 14:32:59

XLON

800

702.00

 14:35:11

XLON

298

702.00

 14:35:11

XLON

1068

701.80

 14:35:11

XLON

1099

701.60

 14:35:50

XLON

220

701.40

 14:35:50

XLON

288

702.00

 14:38:31

XLON

142

702.20

 14:39:34

XLON

669

702.00

 14:39:34

XLON

120

702.00

 14:39:34

XLON

183

702.00

 14:39:34

XLON

583

702.00

 14:39:34

XLON

600

702.00

 14:39:34

XLON

230

702.00

 14:39:34

XLON

1600

702.60

 14:45:04

XLON

324

702.60

 14:45:04

XLON

328

702.80

 14:46:12

XLON

295

703.00

 14:46:13

XLON

1038

703.20

 14:46:27

XLON

1252

703.00

 14:47:28

XLON

600

703.00

 14:47:41

XLON

368

703.00

 14:47:41

XLON

95

703.00

 14:47:41

XLON

955

703.00

 14:47:41

XLON

545

702.80

 14:49:17

XLON

556

702.80

 14:49:17

XLON

1048

703.00

 14:52:33

XLON

281

703.20

 14:54:19

XLON

1108

703.20

 14:58:54

XLON

951

703.20

 14:58:54

XLON

26

702.80

 14:58:55

XLON

838

702.80

 14:58:55

XLON

114

702.80

 14:58:55

XLON

421

702.80

 14:58:55

XLON

1123

702.60

 14:59:21

XLON

932

702.40

 15:00:35

XLON

770

702.20

 15:01:26

XLON

259

702.20

 15:01:26

XLON

1082

701.80

 15:03:04

XLON

138

701.80

 15:05:22

XLON

887

701.80

 15:05:22

XLON

41

701.40

 15:06:02

XLON

848

701.40

 15:07:50

XLON

92

701.40

 15:09:14

XLON

194

701.60

 15:09:31

XLON

95

701.60

 15:09:51

XLON

344

701.60

 15:09:51

XLON

42

701.60

 15:09:51

XLON

355

701.60

 15:10:11

XLON

175

701.60

 15:10:11

XLON

237

701.60

 15:12:56

XLON

229

701.60

 15:13:30

XLON

1046

701.40

 15:13:31

XLON

228

701.60

 15:14:00

XLON

240

701.60

 15:14:00

XLON

95

701.60

 15:14:00

XLON

115

701.40

 15:14:14

XLON

933

701.40

 15:14:14

XLON

965

702.00

 15:17:21

XLON

376

702.00

 15:17:41

XLON

205

702.00

 15:17:41

XLON

73

702.00

 15:17:41

XLON

387

702.00

 15:18:41

XLON

210

702.00

 15:18:41

XLON

75

702.00

 15:18:41

XLON

126

702.00

 15:18:41

XLON

229

702.00

 15:18:41

XLON

1002

702.00

 15:19:42

XLON

1107

703.60

 15:24:46

XLON

418

703.60

 15:25:51

XLON

277

703.60

 15:25:51

XLON

139

703.60

 15:25:51

XLON

310

703.60

 15:25:51

XLON

783

703.40

 15:25:54

XLON

168

703.40

 15:25:54

XLON

1117

703.20

 15:26:37

XLON

940

703.00

 15:27:53

XLON

159

703.20

 15:32:06

XLON

335

703.20

 15:32:06

XLON

159

703.20

 15:32:06

XLON

296

703.20

 15:32:06

XLON

159

703.20

 15:32:06

XLON

1053

703.00

 15:32:56

XLON

1074

702.80

 15:34:56

XLON

52

702.80

 15:34:56

XLON

391

702.80

 15:35:53

XLON

923

702.80

 15:36:49

XLON

100

703.00

 15:37:21

XLON

841

703.00

 15:37:21

XLON

969

703.20

 15:40:12

XLON

1171

703.40

 15:42:11

XLON

329

703.00

 15:43:53

XLON

740

703.00

 15:43:53

XLON

1054

703.00

 15:45:15

XLON

1065

702.80

 15:47:43

XLON

104

702.80

 15:48:33

XLON

124

702.80

 15:48:33

XLON

1587

702.80

 15:48:33

XLON

32

702.80

 15:50:39

XLON

873

702.80

 15:50:39

XLON

95

702.80

 15:50:39

XLON

1033

703.00

 15:52:45

XLON

483

703.00

 15:52:45

XLON

483

703.00

 15:52:45

XLON

45

703.00

 15:52:45

XLON

1100

702.80

 15:55:50

XLON

464

703.00

 15:57:04

XLON

249

703.00

 15:57:04

XLON

106

703.00

 15:57:04

XLON

88

703.00

 15:57:04

XLON

108

703.00

 15:57:04

XLON

483

703.00

 15:59:25

XLON

494

703.00

 15:59:25

XLON

441

703.00

 15:59:25

XLON

537

703.00

 15:59:25

XLON

278

703.00

 15:59:25

XLON

99

703.00

 15:59:25

XLON

119

703.00

 15:59:25

XLON

292

703.00

 16:00:26

XLON

125

703.00

 16:00:26

XLON

104

703.00

 16:00:26

XLON

414

703.00

 16:01:01

XLON

279

703.00

 16:01:01

XLON

119

703.00

 16:01:01

XLON

99

703.00

 16:01:01

XLON

740

703.20

 16:01:43

XLON

352

703.20

 16:01:43

XLON

252

703.20

 16:01:43

XLON

600

703.40

 16:01:43

XLON

500

703.40

 16:01:43

XLON

42

703.40

 16:01:43

XLON

66

703.40

 16:01:43

XLON

1088

702.60

 16:04:19

XLON

833

702.60

 16:05:32

XLON

136

702.60

 16:05:32

XLON

125

702.60

 16:06:11

XLON

240

702.60

 16:06:11

XLON

240

702.60

 16:06:53

XLON

72

702.60

 16:07:35

XLON

210

702.80

 16:07:51

XLON

56

702.80

 16:07:51

XLON

336

702.80

 16:07:53

XLON

404

702.80

 16:07:53

XLON

998

702.60

 16:08:12

XLON

118

702.60

 16:08:34

XLON

610

702.00

 16:12:33

XLON

 

 

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
POSBJBRTMTITBAJ
Find out how to deal online from £1.50 in a SIPP, ISA or Dealing account. AJ Bell logo

Related Charts

Auto Trader Group PLC (AUTO)

+6.80p (+0.99%)
delayed 04:00AM