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Pin to quick picksAuto Trader Regulatory News (AUTO)

Share Price Information for Auto Trader (AUTO)

London Stock Exchange
Share Price is delayed by 15 minutes
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Share Price: 702.20
Bid: 699.20
Ask: 699.40
Change: 3.80 (0.54%)
Spread: 0.20 (0.029%)
Open: 694.40
High: 702.20
Low: 692.80
Prev. Close: 698.40
AUTO Live PriceLast checked at -

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Transaction in Own Shares

31 Jan 2017 17:42

RNS Number : 6586V
Auto Trader Group plc
31 January 2017
 

AUTO TRADER GROUP PLC TRANSACTION IN OWN SHARES

Auto Trader Group plc (the "Company") announces that on 31 January 2017 it purchased through Merrill Lynch International the following number of its ordinary shares for cancellation at an average price of 400.1457p per share:

 

Number of ordinary shares purchased: 270,000

Highest purchase price paid per share: 403.2p

Lowest purchase price paid per share: 391.6p

 

Following the above transaction, the Company has 986,645,846 ordinary shares in issue and holds 4,203,277 ordinary shares in treasury. Therefore the total number of voting rights in the Company is 982,442,569 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

229

391.80

08:05:34

XLON

656

391.80

08:05:34

XLON

969

391.80

08:09:53

XLON

543

391.80

08:09:57

XLON

1100

391.80

08:09:57

XLON

442

391.60

08:10:41

XLON

595

391.60

08:10:41

XLON

1400

391.60

08:10:41

XLON

2890

393.70

08:17:31

XLON

300

394.60

08:23:58

XLON

1187

394.60

08:23:58

XLON

34

394.80

08:28:09

XLON

751

394.80

08:28:09

XLON

1464

394.80

08:28:09

XLON

300

394.80

08:29:02

XLON

332

394.80

08:29:02

XLON

419

394.90

08:29:02

XLON

449

394.80

08:29:02

XLON

456

394.60

08:29:10

XLON

990

394.60

08:29:10

XLON

1110

395.00

08:38:15

XLON

1381

396.90

08:41:01

XLON

2151

396.90

08:42:42

XLON

281

396.90

08:54:10

XLON

426

396.80

08:54:10

XLON

1000

396.80

08:54:10

XLON

1400

396.80

08:54:10

XLON

420

397.00

09:04:10

XLON

834

397.00

09:04:10

XLON

868

397.10

09:06:45

XLON

1024

397.10

09:06:45

XLON

400

397.20

09:09:35

XLON

911

397.20

09:09:35

XLON

182

397.00

09:16:12

XLON

1805

397.00

09:16:12

XLON

2299

397.90

09:27:38

XLON

2087

398.60

09:29:53

XLON

334

398.60

09:30:40

XLON

942

398.60

09:30:40

XLON

1571

398.70

09:38:57

XLON

1624

398.90

09:42:53

XLON

217

398.40

09:55:20

XLON

829

398.40

09:55:20

XLON

965

398.40

09:55:20

XLON

2374

398.40

09:55:20

XLON

1621

398.40

09:57:36

XLON

132

398.40

10:00:49

XLON

287

398.40

10:00:49

XLON

2360

398.40

10:00:49

XLON

45

397.90

10:04:24

XLON

2857

397.90

10:04:24

XLON

1287

398.90

10:13:30

XLON

2002

398.90

10:13:30

XLON

1656

399.40

10:17:16

XLON

1619

399.20

10:19:12

XLON

700

399.70

10:22:09

XLON

931

399.70

10:22:09

XLON

1054

399.70

10:22:09

XLON

307

399.80

10:29:50

XLON

700

399.80

10:29:50

XLON

1400

399.80

10:29:50

XLON

2118

399.80

10:32:57

XLON

1441

399.80

10:41:17

XLON

587

399.90

10:51:44

XLON

1264

399.90

10:51:44

XLON

1409

399.90

10:51:44

XLON

1225

399.80

10:57:10

XLON

1562

399.80

10:57:10

XLON

88

399.70

11:07:54

XLON

252

399.70

11:07:54

XLON

641

399.70

11:07:54

XLON

700

399.70

11:07:54

XLON

851

399.80

11:07:54

XLON

1255

399.80

11:07:54

XLON

83

399.80

11:13:26

XLON

201

399.80

11:13:26

XLON

301

399.80

11:13:26

XLON

981

399.80

11:16:30

XLON

258

399.80

11:16:31

XLON

312

399.80

11:16:31

XLON

2596

399.70

11:20:40

XLON

290

399.80

11:26:03

XLON

700

399.80

11:26:03

XLON

1400

399.80

11:26:03

XLON

827

399.80

11:38:42

XLON

1635

399.80

11:38:42

XLON

1887

399.80

11:38:42

XLON

2230

399.80

11:38:42

XLON

1743

401.10

11:55:39

XLON

2110

401.10

11:55:39

XLON

2257

401.10

11:55:39

XLON

867

400.50

11:59:36

XLON

2323

401.30

12:09:08

XLON

1294

401.00

12:11:02

XLON

597

401.50

12:16:14

XLON

1832

401.50

12:16:14

XLON

543

402.40

12:19:48

XLON

1886

402.40

12:19:48

XLON

727

402.00

12:29:55

XLON

820

402.00

12:29:55

XLON

550

401.90

12:30:49

XLON

690

401.90

12:30:49

XLON

700

401.90

12:30:49

XLON

776

401.90

12:30:49

XLON

1441

401.90

12:30:49

XLON

150

401.90

12:39:03

XLON

603

401.90

12:39:03

XLON

667

401.90

12:39:03

XLON

2131

401.90

12:39:03

XLON

1468

401.90

12:47:53

XLON

1132

401.90

12:48:23

XLON

1550

402.40

12:59:59

XLON

2225

402.40

12:59:59

XLON

385

402.20

13:10:01

XLON

1311

402.20

13:10:01

XLON

1342

402.20

13:10:01

XLON

1549

402.20

13:10:01

XLON

831

401.80

13:19:26

XLON

961

401.80

13:19:26

XLON

1000

401.80

13:19:26

XLON

1639

401.80

13:19:26

XLON

73

401.90

13:29:45

XLON

141

401.90

13:29:45

XLON

199

401.90

13:29:45

XLON

346

401.90

13:29:45

XLON

466

401.90

13:29:45

XLON

699

401.90

13:29:45

XLON

2253

401.90

13:29:45

XLON

671

401.30

13:33:50

XLON

885

401.30

13:33:50

XLON

1315

401.30

13:33:50

XLON

729

401.40

13:38:32

XLON

1207

401.40

13:38:32

XLON

160

402.00

14:02:24

XLON

700

402.00

14:02:24

XLON

1086

402.00

14:02:24

XLON

1240

402.00

14:02:24

XLON

1734

402.00

14:02:24

XLON

2447

402.00

14:02:24

XLON

2450

402.00

14:02:24

XLON

2940

402.00

14:02:24

XLON

37

402.90

14:12:15

XLON

700

402.90

14:12:15

XLON

700

402.90

14:12:15

XLON

1473

402.90

14:12:15

XLON

161

403.20

14:21:30

XLON

163

403.20

14:21:30

XLON

165

403.20

14:21:30

XLON

441

403.20

14:21:30

XLON

561

403.20

14:21:30

XLON

700

403.20

14:21:30

XLON

1807

403.20

14:21:30

XLON

2011

403.20

14:21:30

XLON

2613

403.10

14:21:51

XLON

63

402.60

14:25:29

XLON

1334

402.60

14:25:29

XLON

1400

402.60

14:25:29

XLON

282

402.40

14:31:35

XLON

600

402.40

14:31:35

XLON

1800

402.40

14:31:35

XLON

447

401.80

14:33:39

XLON

2478

401.80

14:33:39

XLON

3012

401.50

14:42:31

XLON

2957

401.80

14:47:15

XLON

193

401.40

14:49:56

XLON

193

401.40

14:49:56

XLON

419

401.40

14:49:56

XLON

975

401.40

14:49:56

XLON

1400

401.40

14:49:56

XLON

107

400.60

14:53:30

XLON

189

400.60

14:53:30

XLON

199

400.60

14:53:30

XLON

345

400.60

14:53:30

XLON

382

400.60

14:53:30

XLON

657

400.60

14:53:30

XLON

836

400.60

14:53:30

XLON

952

401.40

15:00:28

XLON

1058

401.40

15:00:28

XLON

1156

401.40

15:00:28

XLON

295

400.90

15:02:50

XLON

482

400.90

15:02:50

XLON

599

400.90

15:02:50

XLON

600

400.90

15:02:50

XLON

666

400.90

15:02:50

XLON

748

400.90

15:02:50

XLON

1299

400.90

15:02:50

XLON

1400

400.90

15:02:50

XLON

2954

400.30

15:07:50

XLON

2674

400.40

15:13:34

XLON

2923

400.40

15:13:34

XLON

39

400.40

15:16:05

XLON

175

400.40

15:16:05

XLON

700

400.40

15:16:05

XLON

700

400.40

15:16:05

XLON

1400

400.40

15:16:05

XLON

64

400.10

15:23:14

XLON

364

400.10

15:23:14

XLON

700

400.10

15:23:14

XLON

1400

400.10

15:23:14

XLON

37

400.30

15:27:48

XLON

132

400.30

15:27:48

XLON

2425

400.30

15:27:48

XLON

7

400.20

15:31:33

XLON

100

400.20

15:31:33

XLON

114

400.20

15:31:33

XLON

345

400.20

15:31:33

XLON

508

400.20

15:31:33

XLON

831

400.20

15:31:33

XLON

1070

400.20

15:31:33

XLON

159

400.10

15:35:36

XLON

500

400.10

15:35:36

XLON

600

400.10

15:35:36

XLON

700

400.10

15:35:36

XLON

1066

400.10

15:35:36

XLON

151

400.30

15:38:04

XLON

580

400.30

15:38:04

XLON

2100

400.30

15:38:04

XLON

315

400.40

15:42:45

XLON

416

400.40

15:42:45

XLON

490

400.40

15:42:45

XLON

636

400.40

15:42:45

XLON

706

400.40

15:42:45

XLON

984

400.40

15:42:45

XLON

1225

400.40

15:42:45

XLON

1594

400.40

15:42:45

XLON

411

400.40

15:50:26

XLON

700

400.40

15:50:26

XLON

700

400.40

15:50:26

XLON

944

400.40

15:50:26

XLON

199

400.40

15:50:27

XLON

203

400.40

15:50:27

XLON

438

400.40

15:50:27

XLON

1341

400.40

15:50:33

XLON

1370

400.40

15:50:33

XLON

548

400.30

15:55:22

XLON

744

400.30

15:55:22

XLON

1400

400.30

15:55:22

XLON

174

400.40

15:59:01

XLON

228

400.40

15:59:01

XLON

388

400.40

15:59:01

XLON

390

400.40

15:59:01

XLON

827

400.40

15:59:59

XLON

214

400.40

16:00:12

XLON

471

400.40

16:00:12

XLON

510

400.40

16:00:12

XLON

1180

400.40

16:00:12

XLON

2018

400.40

16:00:12

XLON

1135

400.40

16:04:33

XLON

1265

400.40

16:04:33

XLON

1519

400.40

16:04:33

XLON

2000

400.40

16:04:33

XLON

205

401.00

16:10:48

XLON

285

401.00

16:10:48

XLON

1113

401.00

16:10:48

XLON

1400

401.00

16:10:48

XLON

2631

400.90

16:11:44

XLON

340

400.90

16:13:02

XLON

2331

400.90

16:13:02

XLON

180

401.00

16:17:25

XLON

258

401.00

16:17:25

XLON

800

401.00

16:17:25

XLON

776

401.00

16:17:28

XLON

1169

401.20

16:18:00

XLON

700

400.90

16:19:10

XLON

974

400.90

16:19:10

XLON

1093

400.90

16:19:10

XLON

2674

400.90

16:21:34

XLON

73

401.10

16:24:36

XLON

400

401.10

16:24:36

XLON

448

401.10

16:24:36

XLON

461

401.10

16:24:36

XLON

724

401.10

16:24:36

XLON

1009

401.10

16:24:36

XLON

81

401.00

16:25:11

XLON

380

401.00

16:25:11

XLON

700

401.00

16:25:11

XLON

720

401.00

16:25:11

XLON

1291

401.00

16:25:11

XLON

1694

401.00

16:27:36

XLON

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
POSBBMRTMBIJBBR
Date   Source Headline
1st May 20245:30 pmRNSTransaction in Own Shares
1st May 20249:00 amRNSTotal Voting Rights
1st May 20247:00 amRNSNotice of Full Year Results
30th Apr 20245:38 pmRNSTransaction in Own Shares
29th Apr 20245:56 pmRNSTransaction in Own Shares
25th Apr 20245:37 pmRNSTransaction in Own Shares
24th Apr 20245:24 pmRNSTransaction in Own Shares
23rd Apr 20245:59 pmRNSTransaction in Own Shares
22nd Apr 20245:36 pmRNSTransaction in Own Shares
18th Apr 20245:29 pmRNSTransaction in Own Shares
17th Apr 20245:33 pmRNSTransaction in Own Shares
15th Apr 20245:42 pmRNSTransaction in Own Shares
11th Apr 20245:43 pmRNSTransaction in Own Shares
10th Apr 20245:49 pmRNSTransaction in Own Shares
9th Apr 20245:53 pmRNSTransaction in Own Shares
8th Apr 20246:15 pmRNSTransaction in Own Shares
2nd Apr 20249:00 amRNSTotal Voting Rights
22nd Mar 20247:00 amRNSAppointment of Independent Non-Executive Directors
20th Mar 20245:41 pmRNSTransaction in Own Shares
19th Mar 20245:23 pmRNSTransaction in Own Shares
18th Mar 20245:18 pmRNSTransaction in Own Shares
14th Mar 20244:53 pmRNSTransaction in Own Shares
13th Mar 20245:58 pmRNSTransaction in Own Shares
12th Mar 20245:20 pmRNSTransaction in Own Shares
11th Mar 20245:12 pmRNSTransaction in Own Shares
7th Mar 20245:56 pmRNSTransaction in Own Shares
6th Mar 20245:13 pmRNSTransaction in Own Shares
4th Mar 20245:18 pmRNSTransaction in Own Shares
1st Mar 202410:00 amRNSTotal Voting Rights
29th Feb 20246:00 pmRNSTransaction in Own Shares
28th Feb 20245:25 pmRNSTransaction in Own Shares
27th Feb 202410:26 amRNSDirector/PDMR Shareholding
26th Feb 20244:57 pmRNSTransaction in Own Shares
22nd Feb 20245:53 pmRNSTransaction in Own Shares
22nd Feb 20247:00 amRNSBlock listing Interim Review
21st Feb 20245:17 pmRNSTransaction in Own Shares
20th Feb 20245:07 pmRNSTransaction in Own Shares
19th Feb 20246:18 pmRNSTransaction in Own Shares - Replacement
19th Feb 20246:06 pmRNSTransaction in Own Shares
7th Feb 20245:18 pmRNSTransaction in Own Shares
6th Feb 20245:12 pmRNSTransaction in Own Shares
6th Feb 20247:00 amRNSTransaction in Own Shares
1st Feb 20247:00 amRNSTotal Voting Rights
31st Jan 20245:12 pmRNSTransaction in Own Shares
30th Jan 20245:20 pmRNSTransaction in Own Shares
29th Jan 20245:31 pmRNSTransaction in Own Shares
25th Jan 20245:40 pmRNSTransaction in Own Shares
24th Jan 20245:48 pmRNSTransaction in Own Shares
23rd Jan 20245:28 pmRNSTransaction in Own Shares
22nd Jan 20245:18 pmRNSTransaction in Own Shares

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