Transaction in Own Shares

Baltic Classifieds Group PLC
19 February 2024
 

19 February 2024

Baltic Classifieds Group PLC

 

(the "Company")

 

Baltic Classifieds Group PLC Transaction in Own Shares

 

Baltic Classifieds Group PLC announces that on 16 February 2024 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 236.1650p per share:

 

Number of ordinary shares purchased:            95,900

Highest purchase price paid per share:            240.0000p

Lowest purchase price paid per share:             227.0000p

 

Following the above transaction, the Company has 490,301,385 ordinary shares in issue and does not hold any ordinary shares in treasury. Therefore the total number of voting rights in the Company is 490,301,385 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

 693

 227.00

08:10:49

XLON

 235

 227.00

08:10:49

XLON

 674

 227.00

08:14:38

XLON

 562

 227.00

08:14:38

XLON

 544

 227.00

08:25:46

XLON

 403

 227.00

08:25:46

XLON

 505

 227.00

08:35:58

XLON

 320

 227.00

08:35:58

XLON

 499

 227.00

08:47:30

XLON

 339

 227.00

08:47:30

XLON

 499

 227.00

09:05:32

XLON

 505

 227.00

09:11:36

XLON

 455

 227.00

09:11:36

XLON

 392

 231.00

09:14:58

BATE

 159

 231.00

09:14:59

XLON

 3,153

 230.00

09:15:49

XLON

 536

 230.00

09:15:49

XLON

 202

 238.50

10:50:53

XLON

 1,169

 238.50

10:50:53

XLON

 420

 237.50

10:51:02

XLON

 720

 236.50

10:59:45

CHIX

 2,247

 236.50

10:59:45

XLON

 75

 236.50

10:59:45

BATE

 730

 237.00

10:59:45

XLON

 167

 237.00

11:00:15

CHIX

 32

 236.50

11:00:16

BATE

 21

 236.50

11:00:16

BATE

 125

 236.50

11:00:16

XLON

 236

 236.50

11:00:16

XLON

 88

 236.50

11:00:16

XLON

 355

 236.50

11:00:16

XLON

 282

 236.50

11:00:20

CHIX

 90

 236.50

11:00:20

BATE

 555

 236.00

11:00:43

XLON

 225

 236.00

11:00:43

BATE

 124

 238.00

12:14:08

CHIX

 52

 238.00

12:15:24

CHIX

 47

 238.00

12:15:24

CHIX

 231

 238.00

12:15:25

CHIX

 49

 238.00

12:15:25

CHIX

 5,587

 237.50

12:15:28

XLON

 135

 236.50

12:15:30

CHIX

 225

 236.00

12:15:30

CHIX

 306

 236.00

13:25:12

CHIX

 809

 236.00

13:31:11

XLON

 307

 235.50

13:31:11

XLON

 151

 236.50

13:32:32

CHIX

 90

 238.00

14:35:21

XLON

 760

 238.00

14:35:21

XLON

 350

 238.00

14:35:21

XLON

 159

 238.00

14:35:21

XLON

 159

 238.00

14:45:23

CHIX

 255

 238.00

14:58:41

BATE

 440

 239.00

15:30:09

XLON

 730

 239.00

15:30:09

XLON

 1,015

 238.00

15:30:18

XLON

 128

 238.00

15:30:20

CHIX

 158

 237.50

15:30:27

CHIX

 2,228

 237.00

15:30:27

XLON

 4,000

 237.00

15:30:31

XLON

 99

 237.00

15:30:31

XLON

 232

 236.00

15:30:51

BATE

 111

 236.00

15:30:51

CHIX

 1,085

 236.50

15:30:51

XLON

 749

 236.00

15:30:51

XLON

 100

 236.00

15:31:38

CHIX

 1,015

 236.00

15:35:57

XLON

 887

 236.00

15:35:57

XLON

 1,002

 236.00

15:40:38

XLON

 1,044

 236.00

15:42:14

XLON

 1,017

 236.00

15:44:12

XLON

 1,019

 236.00

15:45:52

XLON

 426

 236.00

15:47:07

XLON

 595

 236.00

15:47:07

XLON

 1,035

 236.00

15:48:33

XLON

 1,046

 236.00

15:49:22

XLON

 942

 236.00

15:49:22

XLON

 1,243

 236.00

15:53:14

XLON

 1,066

 236.00

15:56:19

XLON

 1,085

 236.00

15:58:03

XLON

 1,073

 236.00

15:59:47

XLON

 926

 236.00

16:01:18

XLON

 1

 236.00

16:01:18

XLON

 165

 236.00

16:01:18

XLON

 1,095

 236.00

16:03:13

XLON

 1,097

 236.00

16:04:51

XLON

 1,089

 236.00

16:05:43

XLON

 1,148

 236.00

16:06:43

XLON

 1,118

 236.00

16:08:41

XLON

 1,145

 236.00

16:10:02

XLON

 1,013

 236.00

16:11:44

XLON

 112

 236.00

16:11:44

XLON

 1,110

 236.00

16:12:41

XLON

 1,125

 236.00

16:13:36

XLON

 1,253

 236.00

16:14:19

XLON

 1,126

 236.00

16:14:42

XLON

 1,128

 236.00

16:15:28

XLON

 32

 236.00

16:16:14

XLON

 2

 236.00

16:16:14

XLON

 1,211

 236.00

16:16:14

XLON

 1,184

 236.00

16:16:59

XLON

 746

 236.00

16:17:37

XLON

 552

 239.00

16:17:55

XLON

 410

 239.00

16:17:55

XLON

 2,755

 240.00

16:19:51

XLON

 1,045

 239.50

16:19:55

XLON

 984

 239.00

16:19:55

XLON

 530

 239.50

16:20:35

XLON

 159

 239.50

16:20:35

XLON

 1,019

 240.00

16:21:06

XLON

 842

 240.00

16:21:23

XLON

 159

 240.00

16:21:23

XLON

 314

 239.50

16:23:17

CHIX

 203

 239.50

16:23:17

XLON

 31

 239.50

16:23:17

XLON

 255

 239.50

16:23:17

CHIX

 428

 239.50

16:23:17

CHIX

 1,500

 239.50

16:23:17

XLON

 1,098

 239.50

16:23:17

XLON

 159

 239.50

16:23:17

XLON

 50

 240.00

16:23:17

XLON

 229

 239.50

16:27:58

CHIX

 107

 240.00

16:28:02

CHIX

 2,987

 237.50

16:35:00

XLON

 455

 237.50

16:35:00

XLON

 1,623

 237.50

16:35:00

XLON

 424

 237.50

16:35:00

XLON

 4,415

 237.50

16:35:00

XLON

 1,763

 237.50

16:35:00

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

236.1090

90,100

227.0000

240.0000

Chi-X (CXE)

237.6407

4,478

236.0000

240.0000

BATS (BXE)

234.9856

1,322

231.0000

238.0000

 

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