Transaction in Own Shares

Associated British Foods PLC
11 July 2023
 

11 July 2023

 

Associated British Foods plc

 

Transaction in own shares

 

Associated British Foods plc (the "Company") announces that on 11 July 2023 it purchased for cancellation from Credit Suisse International ("CS") the following number of its ordinary shares of 5 15/22 pence each pursuant to the authority granted by its shareholders as part of its share repurchase programme, details of which were announced on 9 November 2022 and 28 April 2023.

 

Description of shares:

 

Associated British Foods plc

Ordinary shares of 5 15/22 pence

Date of transaction:

 

11 July 2023

Number of shares repurchased:

 

11,719

Average price paid per share:

 

GBp 2,023.5058

Highest price paid per share:

 

GBp 2,025.0000

Lowest price paid per share:

 

GBp 2,016.0000

 

The Company intends to cancel these Shares.

 

All shares were purchased from CS as an on exchange transaction subject to the rules of the London Stock Exchange.

 

The table below contains detailed information of the individual trades made by CS as part of the buyback programme.

 

Schedule of purchases

Shares purchased:  Associated British Foods plc (ISIN: GB0006731235)

Date of purchases: 11 July 2023

Investment firm:  Credit Suisse International

 

Individual transactions:

Number of ordinary shares purchased

Transaction price per ordinary share (pence)

Time of transaction (London time)

Trading venue

Transaction reference Number

250

2016.0

08:00:17

XLON

C0001X32Z6O10000

271

2016.0

08:00:17

XLON

C0001Y32Z6O10000

334

2025.0

08:05:53

XLON

C0005732Z6O10000

471

2025.0

08:05:53

XLON

C0005632Z6O10000

137

2025.0

08:09:23

XLON

C0006W32Z6O10000

817

2025.0

08:09:23

XLON

C0006X32Z6O10000

680

2025.0

08:09:23

XLON

C0006U32Z6O10000

264

2024.0

08:12:00

XLON

C0008F32Z6O10000

656

2024.0

08:12:00

XLON

C0008G32Z6O10000

455

2025.0

08:12:07

XLON

C0008R32Z6O10000

395

2024.0

08:12:21

XLON

C0008T32Z6O10000

140

2025.0

08:16:04

XLON

C000C732Z6O10000

55

2025.0

08:16:04

XLON

C000C632Z6O10000

127

2023.0

08:18:33

XLON

C000D732Z6O10000

104

2023.0

08:19:10

XLON

C000D832Z6O10000

146

2025.0

08:22:09

XLON

C000DQ32Z6O10000

6

2024.0

08:23:53

XLON

C000EJ32Z6O10000

332

2025.0

08:24:56

XLON

C000F232Z6O10000

31

2024.0

08:29:56

XLON

C000HL32Z6O10000

25

2023.0

08:31:52

XLON

C000IN32Z6O10000

2

2023.0

08:32:33

XLON

C000JQ32Z6O10000

13

2023.0

08:32:49

XLON

C000JU32Z6O10000

53

2025.0

08:37:25

XLON

C000M032Z6O10000

33

2025.0

08:37:25

XLON

C000M132Z6O10000

37

2025.0

08:42:43

XLON

C000OD32Z6O10000

40

2025.0

08:42:44

XLON

C000OE32Z6O10000

56

2025.0

08:42:44

XLON

C000OF32Z6O10000

12

2024.0

08:44:11

XLON

C000OY32Z6O10000

13

2024.0

08:44:11

XLON

C000OZ32Z6O10000

42

2024.0

08:44:11

XLON

C000P032Z6O10000

41

2022.0

08:44:11

XLON

C000P132Z6O10000

141

2022.0

08:44:11

XLON

C000P232Z6O10000

743

2022.0

08:44:11

XLON

C000P332Z6O10000

41

2022.0

08:44:11

XLON

C000P432Z6O10000

176

2022.0

08:44:13

XLON

C000P532Z6O10000

122

2022.0

08:44:13

XLON

C000P632Z6O10000

42

2022.0

08:44:13

XLON

C000P732Z6O10000

41

2023.0

08:44:17

XLON

C000PB32Z6O10000

164

2023.0

08:44:17

XLON

C000PA32Z6O10000

304

2022.0

08:44:17

XLON

C000P832Z6O10000

164

2023.0

08:44:17

XLON

C000P932Z6O10000

164

2023.0

08:44:18

XLON

C000PD32Z6O10000

112

2023.0

08:44:18

XLON

C000PF32Z6O10000

41

2023.0

08:44:18

XLON

C000PE32Z6O10000

186

2023.0

08:44:18

XLON

C000PC32Z6O10000

115

2023.0

08:44:19

XLON

C000PG32Z6O10000

164

2023.0

08:44:19

XLON

C000PH32Z6O10000

41

2023.0

08:44:19

XLON

C000PI32Z6O10000

117

2023.0

08:44:21

XLON

C000PJ32Z6O10000

11

2023.0

08:44:21

XLON

C000PK32Z6O10000

32

2022.0

08:44:21

XLON

C000PL32Z6O10000

2

2022.0

08:44:24

XLON

C000PM32Z6O10000

24

2023.0

08:46:45

XLON

C000QA32Z6O10000

79

2023.0

08:46:45

XLON

C000QB32Z6O10000

74

2021.0

08:47:01

XLON

C000QC32Z6O10000

60

2020.0

08:47:36

XLON

C000QE32Z6O10000

133

2025.0

08:55:23

XLON

C000T232Z6O10000

70

2025.0

08:55:23

XLON

C000T332Z6O10000

72

2023.0

08:58:01

XLON

C000VJ32Z6O10000

58

2023.0

08:58:03

XLON

C000VK32Z6O10000

69

2024.0

09:02:00

XLON

C000U132Z6O10000

39

2023.0

09:04:23

XLON

C000UX32Z6O10000

252

2025.0

09:10:52

XLON

C000YW32Z6O10000

141

2025.0

09:10:52

XLON

C000YX32Z6O10000

104

2022.0

09:25:01

XLON

C0015E32Z6O10000

138

2021.0

09:26:03

XLON

C0015P32Z6O10000

108

2021.0

09:27:14

XLON

C0016932Z6O10000

77

2023.0

09:36:30

XLON

C0018V32Z6O10000

204

2023.0

09:42:57

XLON

C0019X32Z6O10000

12

2023.0

09:44:57

XLON

C001A432Z6O10000

111

2024.0

09:58:11

XLON

C001FJ32Z6O10000

4

2023.0

09:59:56

XLON

C001FQ32Z6O10000

92

2025.0

10:02:30

XLON

C001G432Z6O10000

59

2025.0

10:02:30

XLON

C001G332Z6O10000

78

2024.0

10:02:35

XLON

C001G532Z6O10000

164

2025.0

10:13:36

XLON

C001KC32Z6O10000

309

2025.0

10:13:36

XLON

C001KA32Z6O10000

164

2025.0

10:13:36

XLON

C001KD32Z6O10000

37

2025.0

10:13:36

XLON

C001KB32Z6O10000

26

2025.0

10:19:24

XLON

C001LA32Z6O10000

 

Contacts:

 

+44 (0) 20 7399 6500

 

Ray Cahill (Director of Corporate Governance)       

 

Paul Lister (Company Secretary)     

 

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
 
 
UK 100

Latest directors dealings