Fuller, Smith & Turner PLC, GB00B1YPC344

Fuller, Smith & Turner PLC / GB00B1YPC344

14.01.2025 - 18:58:11

Fuller, Smith & Turner PLC: Transaction in own shares

Fuller, Smith & Turner PLC (FSTA)
Fuller, Smith & Turner PLC: Transaction in own shares

14-Jan-2025 / 17:58 GMT/BST


    Fuller, Smith & Turner P.L.C. (“the Company” or “Fuller’s”)   Transaction in own shares   The Company announces that it has purchased the following number of its ‘A' ordinary shares of 40p each on the London Stock Exchange through Numis Securities Limited as part of its share buyback programme announced on 23 August 2024 (the “Programme”).  
Date of Purchase 14/01/2025  
Number of ‘A’ ordinary shares of 40p each 50,000  
Highest price paid per share (GBp) 570.00  
Lowest price paid per share (GBp) 568.00  
Average price paid per share (GBp) 569.9473  
  The Company intends to hold the repurchased shares in Treasury.   Following the purchase of the said shares, Fuller’s listed issued share capital consists of 37,982,339 ‘A’ ordinary shares of 40p each. Of this total, 3,677,562 ‘A’ ordinary shares are held in Treasury. Therefore, the total number of listed voting rights in the Company for the purpose of Disclosure and Transparency Rule 5.6.1 (calculated in accordance with Disclosure and Transparency Rule 5.6.2) is 34,304,777. This number 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 Fuller’s, under the FCA's Disclosure and Transparency Rules.   In accordance with Article 5(1)(b) of Regulation (EU) no 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018) (the Market Abuse Regulation), the schedule below contains detailed information about the purchases made.   Enquiries: Rachel Spencer Company Secretary 020 8996 2073   14 January 2025   SCHEDULE OF PURCHASES   Shares Purchased: ‘A’ ordinary shares of 40p each Date of Purchase: 14 January 2025 Investment Firm: Numis Securities Limited   Aggregate Information:  
Volume-weighted average price, pence Aggregated volume
569.9473 50,000
  Individual Transactions:  
Number of shares
purchased
Transaction price, pence
(per share)
Time of transaction Transaction reference number Venue
1160 568.00  09:51:14 00073093140TRLO0 XLON
72 568.00  09:51:14 00073093139TRLO0 XLON
50 568.00  09:51:14 00073093142TRLO0 XLON
36 568.00  09:51:14 00073093141TRLO0 XLON
1156 570.00  11:38:28 00073097668TRLO0 XLON
1300 570.00  11:38:28 00073097670TRLO0 XLON
1200 570.00  11:38:28 00073097669TRLO0 XLON
1299 570.00  11:38:55 00073097683TRLO0 XLON
3719 570.00  11:40:50 00073097731TRLO0 XLON
1281 570.00  11:40:50 00073097730TRLO0 XLON
1340 570.00  11:40:57 00073097738TRLO0 XLON
1340 570.00  11:40:59 00073097739TRLO0 XLON
1375 570.00  11:41:01 00073097741TRLO0 XLON
1282 570.00  11:41:10 00073097747TRLO0 XLON
1286 570.00  11:41:11 00073097748TRLO0 XLON
1389 570.00  11:41:15 00073097750TRLO0 XLON
715 570.00  11:41:16 00073097751TRLO0 XLON
30000 570.00  12:51:26 00073100928TRLO0 XLON
  ---End---


Dissemination of a Regulatory Announcement, transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.


ISIN: GB00B1YPC344
Category Code: POS
TIDM: FSTA
LEI Code: 213800C7ACOFMRCQQW76
OAM Categories: 2.4. Acquisition or disposal of the issuer's own shares
Sequence No.: 370520
EQS News ID: 2067695

 
End of Announcement EQS News Service

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