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Pin to quick picksAuto Trader Regulatory News (AUTO)

Share Price Information for Auto Trader (AUTO)

London Stock Exchange
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Share Price: 697.00
Bid: 696.60
Ask: 697.20
Change: -3.00 (-0.43%)
Spread: 0.60 (0.086%)
Open: 702.60
High: 704.20
Low: 695.60
Prev. Close: 700.00
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Transaction in Own Shares

1 Mar 2017 17:40

RNS Number : 2851Y
Auto Trader Group plc
01 March 2017
 

AUTO TRADER GROUP PLC TRANSACTION IN OWN SHARES

Auto Trader Group plc (the "Company") announces that on 1 March 2017 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 398.2377p per share:

 

Number of ordinary shares purchased: 200,000

Highest purchase price paid per share: 402.0p

Lowest purchase price paid per share: 390.1p

 

Following the above transaction, the Company has 982,806,946 ordinary shares in issue and holds 4,203,277 ordinary shares in treasury. Therefore the total number of voting rights in the Company is 978,603,669 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, Auto Trader 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:

Claire Baty

Company Secretary

+44 (0)161 669 9888

 

Schedule of Purchases - Individual Transactions

 

 

Number of shares purchased

Transaction price (per share)

Time of transaction

Execution venue

106

395.40

08:22:11

XLON

1400

395.40

08:22:11

XLON

1364

394.20

08:28:05

XLON

566

392.50

08:35:37

XLON

924

392.50

08:35:37

XLON

531

392.50

08:40:39

XLON

938

392.50

08:40:39

XLON

1183

391.30

08:44:09

XLON

155

390.50

08:49:22

XLON

1002

390.50

08:49:22

XLON

100

390.10

08:51:11

XLON

457

390.10

08:51:11

XLON

1293

390.10

08:51:11

XLON

65

391.20

09:01:04

XLON

906

391.20

09:01:04

XLON

1286

391.20

09:01:04

XLON

1020

392.10

09:11:03

XLON

285

392.20

09:13:29

XLON

1006

392.20

09:13:29

XLON

1151

392.40

09:19:08

XLON

88

392.80

09:24:31

XLON

180

392.80

09:24:31

XLON

1333

392.80

09:24:31

XLON

323

393.90

09:34:12

XLON

1435

393.90

09:34:12

XLON

1474

393.90

09:34:12

XLON

1742

394.50

09:42:30

XLON

1140

394.30

09:45:48

XLON

1591

394.30

09:45:48

XLON

834

394.40

09:57:47

XLON

2088

394.50

09:57:47

XLON

2134

394.40

09:57:47

XLON

2181

394.50

10:05:36

XLON

1078

395.10

10:14:23

XLON

1316

395.10

10:14:23

XLON

1401

395.00

10:18:07

XLON

1463

395.50

10:29:03

XLON

1564

395.40

10:31:03

XLON

905

395.10

10:32:24

XLON

825

394.90

10:40:55

XLON

212

395.60

10:48:56

XLON

339

395.60

10:48:56

XLON

902

395.60

10:48:56

XLON

948

395.60

10:48:56

XLON

914

395.60

10:49:27

XLON

1025

395.50

10:55:37

XLON

1

395.10

11:00:15

XLON

1409

395.10

11:00:15

XLON

1374

395.20

11:04:09

XLON

2009

395.20

11:08:56

XLON

1552

395.20

11:17:13

XLON

1621

395.60

11:24:01

XLON

1275

395.60

11:26:22

XLON

1672

397.00

11:37:55

XLON

1481

396.80

11:39:50

XLON

946

396.90

11:52:09

XLON

1257

396.90

11:52:09

XLON

1422

396.90

11:52:09

XLON

1077

396.60

11:57:09

XLON

1219

396.10

12:07:33

XLON

385

396.50

12:09:08

XLON

1122

396.40

12:09:41

XLON

1760

396.10

12:15:17

XLON

154

396.00

12:19:31

XLON

429

396.00

12:19:31

XLON

715

396.00

12:19:31

XLON

1228

396.60

12:25:44

XLON

1923

397.60

12:32:55

XLON

1046

397.50

12:36:42

XLON

1246

397.20

12:41:06

XLON

676

397.20

12:44:56

XLON

852

397.20

12:44:56

XLON

304

396.80

12:49:37

XLON

757

396.80

12:49:50

XLON

452

396.80

12:49:51

XLON

705

396.80

12:49:51

XLON

328

397.90

13:03:41

XLON

606

398.10

13:06:53

XLON

746

398.10

13:06:53

XLON

1327

398.00

13:10:57

XLON

344

398.00

13:11:02

XLON

389

398.00

13:11:02

XLON

567

398.00

13:11:02

XLON

1131

398.00

13:11:02

XLON

436

398.80

13:24:39

XLON

1093

398.80

13:24:39

XLON

1287

399.10

13:28:53

XLON

230

399.00

13:30:00

XLON

454

399.00

13:30:02

XLON

1563

399.00

13:30:02

XLON

200

399.70

13:37:51

XLON

219

399.70

13:37:51

XLON

1247

399.70

13:37:51

XLON

696

399.70

13:42:31

XLON

1384

399.70

13:42:31

XLON

1404

399.70

13:42:31

XLON

413

399.70

13:49:00

XLON

684

399.70

13:49:00

XLON

828

399.70

13:49:00

XLON

1873

399.60

13:51:23

XLON

136

399.90

13:57:13

XLON

925

399.90

13:57:13

XLON

1007

399.90

13:57:13

XLON

447

400.50

14:05:41

XLON

1753

400.50

14:05:42

XLON

1975

400.30

14:06:12

XLON

1751

400.30

14:11:41

XLON

236

400.20

14:16:43

XLON

385

400.20

14:16:43

XLON

586

400.20

14:16:43

XLON

604

399.80

14:19:04

XLON

1116

399.80

14:19:04

XLON

2408

399.60

14:23:22

XLON

1199

399.90

14:29:02

XLON

2018

399.90

14:29:02

XLON

408

400.00

14:37:30

XLON

725

400.00

14:37:30

XLON

1369

400.00

14:37:30

XLON

2221

400.00

14:44:01

XLON

2646

400.00

14:44:01

XLON

91

400.00

14:50:48

XLON

499

400.00

14:50:48

XLON

649

400.00

14:50:48

XLON

1926

400.00

14:50:48

XLON

52

400.00

14:53:58

XLON

2010

400.00

14:53:58

XLON

2010

400.00

14:53:58

XLON

205

400.00

15:08:48

XLON

338

400.00

15:08:48

XLON

411

400.00

15:08:48

XLON

1398

400.00

15:08:48

XLON

1641

400.00

15:08:48

XLON

2001

400.00

15:08:48

XLON

2006

400.00

15:08:48

XLON

2006

400.00

15:08:48

XLON

2013

400.00

15:08:48

XLON

2013

400.00

15:08:48

XLON

293

400.00

15:23:53

XLON

2236

400.00

15:23:53

XLON

2691

400.00

15:23:53

XLON

1066

400.50

15:33:07

XLON

2008

400.50

15:33:07

XLON

100

400.50

15:36:29

XLON

62

401.40

15:42:27

XLON

611

401.40

15:42:27

XLON

655

401.40

15:42:27

XLON

658

401.40

15:42:27

XLON

745

401.40

15:42:27

XLON

832

401.40

15:42:27

XLON

1352

401.40

15:42:27

XLON

1524

401.40

15:42:27

XLON

2007

401.40

15:42:27

XLON

1548

401.30

15:43:12

XLON

2009

401.30

15:43:12

XLON

622

400.90

15:51:02

XLON

2204

400.90

15:51:02

XLON

98

400.90

15:55:19

XLON

1260

400.90

15:55:19

XLON

2004

400.90

15:55:19

XLON

320

400.90

15:57:46

XLON

350

400.90

15:57:46

XLON

933

400.90

15:57:46

XLON

412

400.90

15:57:48

XLON

250

400.90

15:58:13

XLON

639

400.90

15:58:13

XLON

2015

400.90

15:58:13

XLON

295

400.50

16:02:42

XLON

21

400.40

16:04:17

XLON

330

400.40

16:04:17

XLON

350

400.40

16:04:17

XLON

510

400.40

16:04:17

XLON

598

400.40

16:04:17

XLON

706

400.40

16:04:17

XLON

1400

400.40

16:04:17

XLON

222

400.50

16:13:14

XLON

225

400.50

16:13:14

XLON

350

400.50

16:13:14

XLON

362

400.50

16:13:14

XLON

21

401.60

16:16:36

XLON

2528

401.60

16:16:36

XLON

451

401.60

16:19:10

XLON

451

401.60

16:19:10

XLON

1098

401.60

16:19:10

XLON

1250

401.60

16:19:10

XLON

2499

401.60

16:19:10

XLON

2624

401.60

16:19:10

XLON

2003

401.20

16:20:07

XLON

2003

401.20

16:20:11

XLON

379

401.20

16:20:13

XLON

331

401.20

16:20:17

XLON

73

401.50

16:28:59

XLON

89

401.50

16:28:59

XLON

847

401.50

16:28:59

XLON

1112

401.50

16:28:59

XLON

2288

401.50

16:28:59

XLON

1205

402.00

16:35:04

XLON

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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