Source - LSE Regulatory
RNS Number : 9152Q
PPHE Hotel Group Limited
24 February 2023
 

24 February 2023

 

PPHE Hotel Group Limited
("the Company" or "PPHE")

Transactions in own securities

PPHE announces today that it has purchased the following number of its ordinary shares on the London Stock Exchange through Jefferies International Limited ("the Broker"). The repurchased shares will be held in treasury.

Ordinary Shares

Date of purchase:

23 February 2023

Number of ordinary shares purchased:

7,203

Highest price paid per share:

1,085.00p

Lowest price paid per share:

1,030.00p

Volume weighted average price paid per share:

1,054.63p


Such purchase forms part of the Company's existing share buy-back programme and was effected pursuant to the instructions issued to the Broker by
 the Company on 29 June 2022, as announced on that date.

Following the purchase of these shares, PPHE holds 2,018,943 of its ordinary shares in treasury and has 42,328,467 ordinary shares in issue (excluding treasury shares).                                        

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), a full breakdown of the individual trades made by the Broker on behalf of the Company as part of the buy-back programme is detailed below:

Transaction Date

Transaction Time

Volume

Price (GBp)

Platform

Transaction Reference Number

23/02/2023

15:16:10

2318

1030

XLON

00340354693TRLO1.2.1

23/02/2023

14:37:46

61

1030

XLON

00340336883TRLO1.1.1

23/02/2023

14:36:29

64

1030

XLON

00340336326TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336062TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336063TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336060TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336061TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336058TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336059TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336056TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336055TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336057TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336054TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336053TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336051TRLO1.1.1

23/02/2023

14:35:44

3

1055

AQXE

00340336052TRLO1.1.1

23/02/2023

14:34:35

71

1055

XLON

00340335612TRLO1.1.1

23/02/2023

14:28:59

70

1055

XLON

00340332568TRLO1.1.1

23/02/2023

14:20:34

67

1055

XLON

00340330306TRLO1.1.1

23/02/2023

14:14:17

76

1055

XLON

00340328835TRLO1.1.1

23/02/2023

14:10:33

59

1055

XLON

00340328041TRLO1.1.1

23/02/2023

14:07:59

115

1055

XLON

00340327247TRLO1.1.1

23/02/2023

14:07:59

49

1055

XLON

00340327246TRLO1.1.1

23/02/2023

14:07:59

69

1055

XLON

00340327245TRLO1.1.1

23/02/2023

14:07:59

85

1055

XLON

00340327244TRLO1.1.1

23/02/2023

13:29:10

79

1055

XLON

00340317205TRLO1.1.1

23/02/2023

13:26:58

3

1055

AQXE

00340316780TRLO1.1.1

23/02/2023

12:51:33

864

1060

XLON

00340310920TRLO1.2.1

23/02/2023

12:50:44

215

1060

XLON

00340310818TRLO1.1.1

23/02/2023

12:50:44

785

1060

XLON

00340310819TRLO1.1.1

23/02/2023

12:50:11

40

1060

AQXE

00340310682TRLO1.1.1

23/02/2023

12:50:03

204

1060

XLON

00340310662TRLO1.1.1

23/02/2023

12:50:03

4

1075

AQXE

00340310661TRLO1.1.1

23/02/2023

12:28:15

132

1085

XLON

00340306966TRLO1.1.1

23/02/2023

12:28:15

6

1085

AQXE

00340306967TRLO1.1.1

23/02/2023

12:28:15

243

1085

XLON

00340306965TRLO1.1.1

23/02/2023

12:04:01

110

1085

XLON

00340303011TRLO1.1.1

23/02/2023

12:04:01

87

1085

XLON

00340303012TRLO1.1.1

23/02/2023

12:03:54

22

1085

XLON

00340302944TRLO1.1.1

23/02/2023

12:03:54

728

1085

XLON

00340302943TRLO1.1.1

23/02/2023

12:03:10

193

1085

XLON

00340302817TRLO1.1.1

23/02/2023

11:52:59

12

1080

AQXE

00340300947TRLO1.1.1

23/02/2023

11:38:50

10

1065

XLON

00340298443TRLO1.1.1

23/02/2023

11:38:43

265

1065

XLON

00340298430TRLO1.1.1

23/02/2023

09:37:59

58

1040

XLON

00340276097TRLO1.1.1

 

Enquiries

PPHE Hotel Group Limited Media Contacts


Daniel Kos, Chief Financial Officer & Executive Director


Robert Henke, Executive Vice President Commercial Affairs

Tel: +31 (0)20 717 8600

Hudson Sandler


Wendy Baker


Charlotte Cobb


Ben Wilson

Tel: +44 (0)20 7796 4133

pphe@hudsonsandler.com

Notes to Editors

 

PPHE Hotel Group is an international hospitality real estate company, with a £1.8 billion portfolio, valued as at December 2021 by Savills and Zagreb nekretnine Ltd (ZANE), of primarily prime freehold and long leasehold assets in Europe.

 

Through its subsidiaries, jointly controlled entities and associates it owns, co-owns, develops, leases, operates and franchises hospitality real estate. Its portfolio includes full-service upscale, upper upscale and lifestyle hotels in major gateway cities and regional centres, as well as hotel, resort and campsite properties in select resort destinations. The Group's strategy is to grow its portfolio of core upper upscale city centre hotels, leisure and outdoor hospitality and hospitality management platform.

 

PPHE Hotel Group benefits from having an exclusive and perpetual licence from the Radisson Hotel Group, one of the world's largest hotel groups, to develop and operate Park Plaza® branded hotels and resorts in Europe, the Middle East and Africa. In addition, PPHE Hotel Group wholly owns, and operates under, the art'otel® brand and its Croatian subsidiary owns, and operates under, the Arena Hotels & Apartments® and Arena Campsites® brands.

 

 

Company websites

For reservations

www.pphe.com
www.arenahospitalitygroup.com

 

www.parkplaza.com
www.artotel.com
www.arenahotels.com  
www.arenacampsites.com

 

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