Transaction in Own Shares

RNS Number : 9256B
Smiths Group PLC
17 February 2022
 













17 February 2022

SMITHS GROUP PLC

TRANSACTIONS IN OWN SHARES







Smiths Group plc ("Smiths Group") announces today that it has purchased the following number of its ordinary shares of 37.5 pence each on the London Stock Exchange from Goldman Sachs International (GSILGB2XXXX). Such purchase was effected pursuant to instructions issued by Smiths Group on 18 November 2021, as announced on 19 November 2021:







Date of purchase

Volume weighted average price paid per share (GBP)

Number of shares purchased

Lowest price paid per share: (GBP)

Highest price paid per share: (GBP)

Venue

16 February 2022

15.4282

5,000

15.3100

15.5900

XLON

16 February 2022

-

-

-

-

CHIX

16 February 2022

0.0000

0

0.0000

0.0000

BATE







Smiths Group will cancel the purchased shares.







ln accordance with Article 5(1)(b) of the Market Abuse Regulation (EU) No 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018), a full breakdown of the individual trades by Goldman Sachs on 16 February 2022 is detailed below.







This announcement does not constitute, or form part of, an offer or any solicitation of an offer for securities in any jurisdiction.

Enquiries:







Jemma Spalton, Director of Investor Relations

+44 (0)20 7004 1600

Jemma.spalton@smiths.com







Matthew Whyte, Company Secretary

+44 (0)20 7004 1600

Matthew.whyte@smiths.com







Smiths Group plc's LEI number is: 213800MJL6IPZS3ASA11







About Smiths Group

For over 170 years, Smiths Group has been pioneering progress by improving the world through smarter engineering. We serve millions of people every year, to help create a safer, more efficient and better-connected world, across four major global markets:  Energy, General Industry, Security & Defence, and Aerospace. Listed on the London Stock Exchange, Smiths employs c.14,600 colleagues in over 50 countries. For more information visit www.smiths.com.













Time

Exchange Venue

Quantity purchased

Price per share (GBP)

Transaction reference number


08:32:02

XLON

307

15.59

487453626474209


08:40:55

XLON

157

15.565

487453626475589


09:13:43

XLON

89

15.55

487453626479724


09:13:43

XLON

74

15.55

487453626479725


09:57:05

XLON

357

15.525

487453626483853


10:38:15

XLON

306

15.47

487453626489034


11:17:44

XLON

304

15.475

487453626492296


11:53:12

XLON

315

15.46

487453626494903


12:35:20

XLON

286

15.46

487453626497973


13:25:59

XLON

326

15.445

487453626503591


13:25:59

XLON

32

15.445

487453626503592


13:40:54

XLON

25

15.385

487453626504934


13:41:20

XLON

239

15.385

487453626504994


14:30:04

XLON

347

15.385

487453626511031


14:47:53

XLON

114

15.365

487453626514541


14:47:53

XLON

173

15.365

487453626514542


15:09:04

XLON

352

15.325

487453626518329


15:28:27

XLON

273

15.31

487453626521027


15:51:21

XLON

307

15.345

487453626524546


15:51:21

XLON

30

15.345

487453626524547


16:15:22

XLON

123

15.35

487453626528696


16:15:22

XLON

50

15.35

487453626528697


16:18:56

XLON

112

15.355

487453626529346


16:28:22

XLON

225

15.375

487453626531348


16:28:47

XLON

5

15.375

487453626531478


16:28:47

XLON

21

15.375

487453626531479


16:28:49

XLON

2

15.375

487453626531520


16:29:52

XLON

49

15.4

487453626531995




















 

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