Transaction in Own Shares

Associated British Foods PLC
12 October 2023
 

12 October 2023

 

Associated British Foods plc

 

Transaction in own shares

 

Associated British Foods plc (the "Company") announces that on 12 October 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:

 

12 October 2023

Number of shares repurchased:

 

74,505

Average price paid per share:

 

GBp 1,973.3775

Highest price paid per share:

 

GBp 1,980.0000

Lowest price paid per share:

 

GBp 1,968.0000

 

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: 12 October 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

554

1968.5

08:02:06

XLON

I0000032Z78P007O

563

1968.0

08:03:32

XLON

I0000232Z78P007O

3

1968.0

08:03:32

XLON

I0000132Z78P007O

714

1974.5

08:13:18

XLON

I0000332Z78P007O

550

1975.5

08:14:13

XLON

I0000432Z78P007O

563

1975.0

08:14:13

XLON

I0000532Z78P007O

353

1975.0

08:15:53

XLON

I0000632Z78P007O

256

1975.0

08:15:53

XLON

I0000732Z78P007O

325

1974.5

08:19:31

XLON

I0000832Z78P007O

183

1974.5

08:19:31

XLON

I0000932Z78P007O

598

1971.5

08:27:50

XLON

I0000A32Z78P007O

570

1970.5

08:32:16

XLON

I0000B32Z78P007O

602

1969.0

08:47:42

XLON

I0000I32Z78P007O

597

1974.5

09:07:24

XLON

I0001432Z78P007O

633

1975.5

09:10:06

XLON

I0001632Z78P007O

295

1979.5

09:11:17

XLON

I0001A32Z78P007O

1000

1979.5

09:11:17

XLON

I0001B32Z78P007O

559

1979.5

09:11:17

XLON

I0001C32Z78P007O

55

1979.5

09:11:17

XLON

I0001D32Z78P007O

246

1980.0

14:55:51

XLON

I0005832Z78P007O

149

1980.0

14:55:51

XLON

I0005732Z78P007O

210

1980.0

14:55:51

XLON

I0005632Z78P007O

797

1980.0

14:55:51

XLON

I0005532Z78P007O

189

1980.0

14:59:00

XLON

I0005932Z78P007O

45

1979.5

14:59:16

XLON

I0005D32Z78P007O

167

1979.5

14:59:16

XLON

I0005C32Z78P007O

190

1979.5

14:59:16

XLON

I0005B32Z78P007O

133

1979.5

14:59:16

XLON

I0005A32Z78P007O

188

1978.5

15:01:55

XLON

I0005E32Z78P007O

500

1980.0

15:05:06

XLON

I0005F32Z78P007O

82

1980.0

15:05:06

XLON

I0005G32Z78P007O

397

1979.0

15:15:19

XLON

I0005P32Z78P007O

419

1979.0

15:15:19

XLON

I0005Q32Z78P007O

555

1980.0

15:16:28

XLON

I0005R32Z78P007O

637

1979.0

15:27:55

XLON

I0005V32Z78P007O

623

1979.5

15:28:43

XLON

I0005W32Z78P007O

120

1979.5

15:32:05

XLON

I0005Y32Z78P007O

400

1979.5

15:32:05

XLON

I0005X32Z78P007O

597

1979.0

15:35:25

XLON

I0005Z32Z78P007O

613

1979.0

15:45:00

XLON

I0006032Z78P007O

82

1980.0

15:50:29

XLON

I0006432Z78P007O

369

1980.0

15:50:29

XLON

I0006532Z78P007O

125

1980.0

15:50:29

XLON

I0006632Z78P007O

667

1979.0

15:54:05

XLON

I0006732Z78P007O

629

1979.0

15:55:23

XLON

I0006832Z78P007O

173

1979.0

15:57:25

XLON

I0006B32Z78P007O

315

1979.0

15:57:25

XLON

I0006932Z78P007O

95

1979.0

15:57:25

XLON

I0006A32Z78P007O

500

1979.5

16:02:12

XLON

I0006H32Z78P007O

14

1979.5

16:02:12

XLON

I0006I32Z78P007O

453

1980.0

16:06:08

XLON

I0006J32Z78P007O

130

1980.0

16:06:08

XLON

I0006K32Z78P007O

154

1980.0

16:12:58

XLON

I0006R32Z78P007O

414

1980.0

16:12:58

XLON

I0006S32Z78P007O

515

1978.0

16:20:02

XLON

I0006T32Z78P007O

184

1978.0

16:20:02

XLON

I0006U32Z78P007O

42

1978.0

16:20:35

XLON

I0006V32Z78P007O

2

1978.0

16:20:35

XLON

I0006W32Z78P007O

512

1978.0

16:20:35

XLON

I0006X32Z78P007O

368

1978.0

16:20:37

XLON

I0006Y32Z78P007O

213

1978.0

16:20:37

XLON

I0006Z32Z78P007O

280

1977.0

16:22:12

XLON

I0007032Z78P007O

180

1977.0

16:22:12

XLON

I0007132Z78P007O

557

1978.0

16:24:36

XLON

I0007232Z78P007O

332

1976.5

16:26:55

XLON

I0007432Z78P007O

243

1976.5

16:26:55

XLON

I0007332Z78P007O

138

1977.0

16:28:27

XLON

I0007532Z78P007O

21

1977.5

16:29:52

XLON

I0007S32Z78P007O

146

1977.5

16:29:52

XLON

I0007T32Z78P007O

422

1977.5

16:29:52

XLON

I0007U32Z78P007O

288

1971.5

16:35:23

XLON

K000EX32Z78P007O

1996

1971.5

16:35:23

XLON

K000EY32Z78P007O

41

1971.5

16:35:23

XLON

K000ET32Z78P007O

521

1971.5

16:35:23

XLON

K000EV32Z78P007O

2502

1971.5

16:35:23

XLON

K000EZ32Z78P007O

21

1971.5

16:35:23

XLON

K000EW32Z78P007O

11453

1971.5

16:35:23

XLON

K000F032Z78P007O

653

1971.5

16:35:23

XLON

K000F632Z78P007O

6827

1971.5

16:35:23

XLON

K000F232Z78P007O

221

1971.5

16:35:23

XLON

K000F332Z78P007O

526

1971.5

16:35:23

XLON

K000F432Z78P007O

17531

1971.5

16:35:23

XLON

K000F532Z78P007O

28

1971.5

16:35:23

XLON

K000ES32Z78P007O

1831

1971.5

16:35:23

XLON

K000ER32Z78P007O

4425

1971.5

16:35:23

XLON

K000F132Z78P007O

1136

1971.5

16:35:23

XLON

K000EU32Z78P007O

 

Contacts:

 

+44 (0) 20 7399 6500

 

Ray Cahill (Director of Corporate Governance)       

 

Paul Lister (Company Secretary)     

 

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