Transaction in Own Shares

Baltic Classifieds Group PLC
27 July 2023
 

27 July 2023

Baltic Classifieds Group PLC

 

(the "Company")

 

Baltic Classifieds Group PLC Transaction in Own Shares

 

Baltic Classifieds Group PLC announces that on 26 July 2023 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 196.8641p per share:

 

Number of ordinary shares purchased:            39,249

Highest purchase price paid per share:             200.0000p

Lowest purchase price paid per share:             195.0000p

 

Following the above transaction, the Company has 495,504,785 ordinary shares in issue and does not hold any ordinary shares in treasury. Therefore the total number of voting rights in the Company is 495,504,785 which 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, Baltic Classifieds 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 Merrill Lynch International on behalf of the Company as part of the buyback programme.

 

Enquiries

 

Baltic Classifieds Group PLC

Company Secretary: cosec@balticclassifieds.com

 

Baltic Classifieds Group PLC LEI: 213800I1RPHCFSSQS969

 

 

Schedule of Purchases - Individual Transactions

 

Number of shares purchased

Transaction price

(pence per share)

Time of transaction

Execution venue

 100

 195.20

13:26:26

XLON

 100

 195.20

14:23:42

XLON

 100

 195.20

14:24:08

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:13

XLON

 100

 195.20

14:24:17

XLON

 100

 195.20

14:24:17

XLON

 100

 195.20

14:24:17

XLON

 100

 195.20

14:24:17

XLON

 100

 195.20

14:24:22

XLON

 100

 195.20

14:24:26

XLON

 100

 195.20

14:25:01

XLON

 100

 195.20

14:25:20

XLON

 100

 195.20

14:25:37

XLON

 100

 195.20

14:25:55

XLON

 100

 195.20

14:26:09

XLON

 100

 195.20

14:26:09

XLON

 100

 195.20

14:27:04

XLON

 100

 195.20

14:29:23

XLON

 100

 195.20

14:31:07

XLON

 100

 195.20

14:31:55

XLON

 100

 195.20

14:34:04

XLON

 100

 195.20

14:34:08

XLON

 100

 195.20

14:34:08

XLON

 100

 195.20

14:34:16

XLON

 100

 195.20

14:34:30

XLON

 100

 195.20

14:36:18

XLON

 100

 195.20

14:37:24

XLON

 100

 195.20

14:39:22

XLON

 100

 195.20

14:40:32

XLON

 100

 195.20

14:41:11

XLON

 100

 195.20

14:41:43

XLON

 1,391

 200.00

14:43:15

XLON

 285

 200.00

14:43:15

XLON

 898

 199.60

14:43:27

XLON

 1,408

 199.40

14:43:27

XLON

 189

 199.00

14:43:27

CHIX

 155

 199.00

14:47:19

XLON

 155

 199.00

14:47:38

XLON

 304

 198.80

14:47:41

XLON

 205

 198.00

14:52:59

XLON

 32

 198.00

14:52:59

XLON

 195

 197.80

14:57:12

CHIX

 214

 197.80

14:57:12

BATE

 455

 197.60

14:57:12

XLON

 160

 197.60

14:57:12

CHIX

 384

 197.60

14:57:12

BATE

 571

 197.80

14:57:12

XLON

 361

 197.40

14:57:12

XLON

 162

 196.80

15:11:00

CHIX

 517

 196.80

15:11:00

XLON

 210

 196.40

15:11:58

XLON

 293

 196.40

15:11:58

XLON

 196

 195.60

15:13:39

XLON

 253

 195.60

15:13:39

XLON

 252

 195.00

15:17:09

XLON

 352

 196.00

15:36:29

XLON

 233

 196.00

15:36:29

XLON

 400

 196.00

15:36:29

XLON

 1,075

 195.20

16:21:17

XLON

 844

 195.20

16:22:54

XLON

 68

 195.20

16:22:54

XLON

 716

 195.20

16:24:35

XLON

 84

 195.80

16:29:51

CHIX

 135

 195.80

16:29:51

CHIX

 150

 195.80

16:29:55

BATE

 7

 195.80

16:29:55

CHIX

 49

 195.80

16:29:58

CHIX

 37

 195.80

16:29:59

BATE

 4,806

 196.80

16:35:01

XLON

 3,539

 196.80

16:35:01

XLON

 320

 196.80

16:35:01

XLON

 288

 196.80

16:35:01

XLON

 224

 196.80

16:35:01

XLON

 148

 196.80

16:35:01

XLON

 1,128

 196.80

16:35:01

XLON

 4,765

 196.80

16:35:01

XLON

 3,187

 196.80

16:35:01

XLON

 379

 196.80

16:35:01

XLON

 1,442

 196.80

16:35:01

XLON

 669

 196.80

16:35:01

XLON

 1,048

 196.80

16:35:01

XLON

 11

 196.80

16:35:01

XLON

 

 

Schedule of Purchases - Aggregated by each trading venue

 

Venue

Weighted average price paid per share (pence)

Aggregate number of shares purchased

Lowest price paid per share (pence)

Highest price paid per share (pence)

London Stock Exchange

196.8458

37,483

195.0000

200.0000

Chi-X (CXE)

197.2728

981

195.8000

199.0000

BATS (BXE)

197.2257

785

195.8000

197.8000

 

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