The latest Investing Matters Podcast episode featuring Jeremy Skillington, CEO of Poolbeg Pharma has just been released. Listen here.

Less Ads, More Data, More Tools Register for FREE

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
Get Live Data
Share Price: 695.40
Bid: 696.40
Ask: 696.80
Change: 6.80 (0.99%)
Spread: 0.40 (0.057%)
Open: 693.40
High: 698.20
Low: 689.80
Prev. Close: 688.60
AUTO Live PriceLast checked at -

Watchlists are a member only feature

Login to your account

Alerts are a premium feature

Login to your account

Transaction in Own Shares

30 Nov 2023 17:54

RNS Number : 2955V
Auto Trader Group plc
30 November 2023
 

 

30 November 2023

Auto Trader Group plc ("Auto Trader" or the "Company")

Auto Trader Group plc Transaction in Own Shares

 

Auto Trader Group plc (the "Company") announces that on 30 November 2023 it purchased through Deutsche Numis the following number of its ordinary shares for Cancellation at an average price of 721.45p per share:

 

Number of ordinary shares purchased:

242,920

Highest purchase price paid per share:

724.60p

Lowest purchase price paid per share:

717.60p

 

 

Following the above transaction, the Company has 914,350,670 ordinary shares in issue and holds 3,809,437 ordinary shares in treasury. Therefore the total number of voting rights in the Company is 910,541,233 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 Deutsche Numis on behalf of the Company as part of the buyback programme.

Enquiries:

Auto Trader Group plc Claire Baty, Company Secretary

0345 111 0006

 

 

Schedule of Purchases - Individual Transactions

 

 

Number of ordinary shares purchased

Transaction price(GBp share)

Time of transaction (UK Time)

Trading venue

1038

719.40

 08:16:16

XLON

429

719.40

 08:16:16

XLON

611

719.40

 08:16:16

XLON

1077

719.60

 08:18:16

XLON

1092

720.00

 08:24:25

XLON

1085

720.00

 08:24:25

XLON

264

720.20

 08:24:25

XLON

459

720.20

 08:24:25

XLON

43

720.20

 08:24:25

XLON

281

720.20

 08:24:25

XLON

1035

720.00

 08:25:25

XLON

43

719.60

 08:27:21

XLON

1038

719.60

 08:27:21

XLON

1084

720.60

 08:31:47

XLON

136

720.80

 08:34:05

XLON

112

720.80

 08:34:54

XLON

116

720.80

 08:35:04

XLON

459

720.80

 08:35:04

XLON

1399

720.60

 08:35:07

XLON

118

720.60

 08:35:07

XLON

43

720.60

 08:35:07

XLON

123

720.80

 08:35:27

XLON

485

720.80

 08:35:27

XLON

114

720.60

 08:37:22

XLON

908

720.60

 08:37:22

XLON

1121

720.80

 08:39:02

XLON

1089

719.60

 08:40:21

XLON

283

719.20

 08:43:40

XLON

780

719.20

 08:43:40

XLON

485

718.60

 08:44:17

XLON

576

718.60

 08:44:17

XLON

1153

717.60

 08:47:23

XLON

91

717.60

 08:50:18

XLON

1028

717.60

 08:50:18

XLON

333

717.60

 08:52:10

XLON

808

717.60

 08:52:10

XLON

937

718.00

 08:56:16

XLON

122

718.60

 09:00:35

XLON

459

718.60

 09:00:35

XLON

459

720.00

 09:03:25

XLON

1250

719.80

 09:03:26

XLON

1032

720.80

 09:08:57

XLON

1156

720.60

 09:09:57

XLON

1049

720.40

 09:10:48

XLON

249

720.20

 09:13:06

XLON

43

720.20

 09:13:06

XLON

459

720.20

 09:13:06

XLON

950

720.60

 09:17:07

XLON

1219

721.20

 09:20:24

XLON

275

721.20

 09:20:24

XLON

655

721.20

 09:20:24

XLON

442

721.20

 09:20:24

XLON

887

721.20

 09:22:50

XLON

184

721.20

 09:22:50

XLON

1090

721.00

 09:26:30

XLON

900

720.60

 09:28:57

XLON

45

720.60

 09:28:57

XLON

988

720.60

 09:30:36

XLON

871

721.40

 09:34:07

XLON

94

721.40

 09:34:07

XLON

43

721.40

 09:34:07

XLON

833

721.40

 09:34:07

XLON

121

721.40

 09:34:07

XLON

1031

721.40

 09:36:42

XLON

1117

721.60

 09:41:36

XLON

1003

721.60

 09:41:36

XLON

138

721.60

 09:41:36

XLON

356

721.20

 09:45:13

XLON

648

721.20

 09:45:13

XLON

777

721.00

 09:47:37

XLON

126

721.00

 09:47:37

XLON

237

721.00

 09:47:37

XLON

882

721.40

 09:51:42

XLON

235

721.40

 09:51:42

XLON

459

720.80

 09:53:38

XLON

43

720.80

 09:53:38

XLON

765

720.00

 09:56:50

XLON

171

720.00

 09:56:50

XLON

981

721.00

 10:00:58

XLON

1065

720.60

 10:02:03

XLON

141

719.80

 10:07:17

XLON

283

719.80

 10:07:17

XLON

375

719.80

 10:08:07

XLON

996

720.60

 10:11:38

XLON

585

720.80

 10:13:25

XLON

402

720.80

 10:13:25

XLON

43

720.40

 10:16:34

XLON

199

720.40

 10:19:11

XLON

836

720.40

 10:19:11

XLON

64

720.40

 10:19:11

XLON

883

720.40

 10:19:11

XLON

74

720.40

 10:19:11

XLON

43

720.40

 10:19:11

XLON

141

720.40

 10:19:11

XLON

43

720.40

 10:19:11

XLON

1044

720.40

 10:21:21

XLON

1137

720.40

 10:23:36

XLON

25

720.60

 10:25:27

XLON

123

720.60

 10:25:47

XLON

550

720.60

 10:25:47

XLON

1126

720.40

 10:26:39

XLON

1087

720.00

 10:26:40

XLON

1108

720.20

 10:30:32

XLON

230

720.80

 10:32:59

XLON

136

720.80

 10:32:59

XLON

559

720.80

 10:32:59

XLON

80

719.20

 10:34:38

XLON

1012

719.20

 10:34:38

XLON

900

719.40

 10:39:02

XLON

147

719.40

 10:39:02

XLON

57

719.40

 10:39:02

XLON

465

719.20

 10:42:01

XLON

517

719.20

 10:42:01

XLON

659

719.40

 10:44:44

XLON

465

719.40

 10:44:44

XLON

1081

720.00

 10:48:28

XLON

1078

719.60

 10:50:25

XLON

777

719.40

 10:55:05

XLON

240

719.40

 10:55:05

XLON

1081

719.20

 10:57:21

XLON

991

720.00

 11:00:50

XLON

1014

720.00

 11:03:21

XLON

51

720.00

 11:03:21

XLON

1115

719.60

 11:06:43

XLON

494

718.60

 11:11:54

XLON

220

718.60

 11:11:54

XLON

348

718.60

 11:11:54

XLON

1138

718.40

 11:14:26

XLON

1082

718.00

 11:17:56

XLON

469

717.80

 11:23:30

XLON

910

718.60

 11:25:39

XLON

55

718.60

 11:25:39

XLON

397

718.20

 11:26:29

XLON

689

718.20

 11:26:29

XLON

519

719.40

 11:42:08

XLON

900

719.40

 11:42:08

XLON

5

719.40

 11:42:08

XLON

515

719.60

 11:42:11

XLON

60

719.60

 11:44:01

XLON

380

719.60

 11:44:01

XLON

675

719.60

 11:44:01

XLON

298

720.40

 11:47:31

XLON

777

720.40

 11:47:31

XLON

43

720.40

 11:47:31

XLON

43

720.20

 11:50:55

XLON

1096

720.00

 11:51:13

XLON

155

720.40

 11:54:57

XLON

56

720.40

 11:54:57

XLON

1275

720.00

 11:57:37

XLON

777

720.00

 11:58:47

XLON

372

720.00

 11:58:47

XLON

995

720.00

 11:59:56

XLON

1130

721.00

 12:06:07

XLON

1339

721.60

 12:10:42

XLON

1021

721.60

 12:10:42

XLON

30

721.80

 12:14:40

XLON

1021

721.80

 12:14:40

XLON

1861

721.60

 12:19:16

XLON

64

721.60

 12:19:16

XLON

192

721.40

 12:24:27

XLON

1120

721.60

 12:25:57

XLON

6

721.60

 12:29:37

XLON

249

721.60

 12:29:37

XLON

974

721.60

 12:32:19

XLON

130

721.60

 12:32:19

XLON

459

721.40

 12:38:58

XLON

1002

721.20

 12:38:58

XLON

341

721.20

 12:38:58

XLON

459

721.20

 12:38:58

XLON

43

721.20

 12:38:58

XLON

965

721.20

 12:41:51

XLON

46

721.80

 12:45:03

XLON

43

721.80

 12:45:03

XLON

974

721.60

 12:45:06

XLON

168

721.20

 12:49:33

XLON

550

721.40

 12:51:06

XLON

758

721.20

 12:51:12

XLON

418

721.20

 12:54:01

XLON

512

721.20

 12:54:01

XLON

934

721.40

 13:00:23

XLON

1200

721.00

 13:00:23

XLON

353

721.00

 13:00:23

XLON

59

721.40

 13:03:15

XLON

440

721.40

 13:03:15

XLON

1108

721.60

 13:09:54

XLON

1102

721.20

 13:09:54

XLON

1006

721.00

 13:10:32

XLON

928

720.80

 13:15:02

XLON

973

720.60

 13:17:02

XLON

459

721.40

 13:24:57

XLON

1085

721.20

 13:25:50

XLON

1044

721.00

 13:26:04

XLON

1018

721.00

 13:30:08

XLON

747

721.00

 13:30:08

XLON

342

721.00

 13:30:08

XLON

156

720.80

 13:30:20

XLON

921

720.80

 13:30:20

XLON

1155

720.40

 13:32:10

XLON

1019

720.60

 13:33:50

XLON

1740

722.20

 13:41:31

XLON

927

722.00

 13:43:26

XLON

1121

722.00

 13:43:26

XLON

928

722.40

 13:49:00

XLON

1147

722.40

 13:49:00

XLON

1294

722.40

 13:49:00

XLON

1104

722.40

 13:50:07

XLON

934

722.60

 13:52:30

XLON

103

722.00

 13:53:52

XLON

900

722.00

 13:53:52

XLON

20

722.00

 13:53:52

XLON

1069

722.20

 13:57:59

XLON

1133

722.40

 14:02:01

XLON

410

722.40

 14:04:06

XLON

871

722.40

 14:04:06

XLON

285

722.40

 14:04:17

XLON

777

722.20

 14:06:29

XLON

353

722.20

 14:06:29

XLON

459

722.20

 14:06:29

XLON

459

722.20

 14:06:29

XLON

212

722.20

 14:06:29

XLON

120

722.20

 14:06:29

XLON

838

722.20

 14:06:29

XLON

585

722.40

 14:10:41

XLON

441

722.40

 14:10:41

XLON

988

722.20

 14:13:04

XLON

304

722.20

 14:16:37

XLON

690

722.20

 14:16:37

XLON

398

722.20

 14:16:37

XLON

1093

722.00

 14:16:41

XLON

180

721.80

 14:19:16

XLON

818

721.80

 14:19:16

XLON

653

721.40

 14:21:07

XLON

411

721.40

 14:21:07

XLON

598

721.40

 14:24:42

XLON

519

721.40

 14:24:42

XLON

550

722.20

 14:29:18

XLON

36

722.20

 14:29:18

XLON

1311

722.20

 14:29:18

XLON

480

722.20

 14:29:18

XLON

672

722.20

 14:29:18

XLON

1021

722.20

 14:29:18

XLON

21

722.00

 14:30:04

XLON

1003

722.00

 14:30:04

XLON

417

721.80

 14:31:22

XLON

312

721.80

 14:31:22

XLON

550

722.00

 14:32:03

XLON

460

722.00

 14:32:03

XLON

21

722.00

 14:32:03

XLON

954

721.80

 14:32:47

XLON

550

721.80

 14:32:47

XLON

21

721.80

 14:32:47

XLON

381

721.80

 14:32:47

XLON

16

721.60

 14:33:47

XLON

46

721.60

 14:33:47

XLON

1121

721.60

 14:35:12

XLON

318

721.40

 14:35:25

XLON

887

721.40

 14:35:25

XLON

550

721.40

 14:35:25

XLON

21

721.40

 14:35:25

XLON

1134

721.20

 14:35:38

XLON

1022

721.00

 14:36:52

XLON

182

721.00

 14:38:47

XLON

242

721.00

 14:38:47

XLON

926

720.80

 14:39:12

XLON

1098

720.80

 14:39:12

XLON

1113

720.60

 14:41:46

XLON

900

720.40

 14:41:46

XLON

238

720.40

 14:41:46

XLON

842

720.00

 14:42:00

XLON

235

720.00

 14:42:00

XLON

550

722.00

 14:45:31

XLON

1087

721.80

 14:46:01

XLON

1009

721.60

 14:46:09

XLON

1119

721.60

 14:46:56

XLON

550

721.60

 14:46:56

XLON

21

721.60

 14:46:56

XLON

303

721.60

 14:48:18

XLON

803

721.60

 14:48:18

XLON

452

721.40

 14:48:34

XLON

474

721.40

 14:48:34

XLON

138

722.40

 14:51:55

XLON

249

722.40

 14:51:55

XLON

1105

722.20

 14:52:04

XLON

131

722.20

 14:52:04

XLON

401

723.40

 14:53:50

XLON

647

723.40

 14:53:50

XLON

659

723.20

 14:54:01

XLON

578

723.20

 14:54:01

XLON

1101

723.60

 14:55:15

XLON

532

723.40

 14:55:19

XLON

412

723.40

 14:55:19

XLON

937

723.40

 14:55:48

XLON

1118

723.20

 14:56:55

XLON

18

723.00

 15:00:00

XLON

178

723.00

 15:00:36

XLON

192

723.00

 15:00:36

XLON

758

723.00

 15:00:36

XLON

801

723.00

 15:00:36

XLON

989

723.00

 15:00:36

XLON

225

723.00

 15:00:36

XLON

1077

721.60

 15:02:27

XLON

33

721.40

 15:02:53

XLON

895

721.40

 15:02:53

XLON

1353

722.20

 15:06:08

XLON

1167

722.20

 15:06:08

XLON

283

721.60

 15:08:20

XLON

844

721.60

 15:08:20

XLON

941

722.20

 15:09:00

XLON

550

722.20

 15:09:00

XLON

132

722.20

 15:09:00

XLON

43

722.20

 15:09:00

XLON

355

722.20

 15:09:00

XLON

929

721.60

 15:10:29

XLON

1072

722.00

 15:11:27

XLON

572

722.40

 15:13:24

XLON

228

722.20

 15:14:15

XLON

749

722.20

 15:14:15

XLON

600

722.20

 15:14:15

XLON

413

722.20

 15:14:15

XLON

934

723.20

 15:16:26

XLON

1095

723.00

 15:17:04

XLON

500

723.00

 15:19:46

XLON

941

722.80

 15:20:39

XLON

394

723.00

 15:21:10

XLON

278

723.00

 15:21:10

XLON

460

723.00

 15:21:10

XLON

155

723.00

 15:21:18

XLON

882

723.00

 15:21:18

XLON

45

723.60

 15:22:54

XLON

121

723.60

 15:22:54

XLON

1084

723.60

 15:23:12

XLON

156

723.60

 15:24:02

XLON

804

723.60

 15:24:02

XLON

170

723.60

 15:24:02

XLON

1095

723.80

 15:24:44

XLON

919

723.60

 15:26:44

XLON

173

723.60

 15:26:44

XLON

1118

723.40

 15:26:44

XLON

998

723.00

 15:28:41

XLON

900

722.80

 15:30:20

XLON

32

722.80

 15:30:20

XLON

14

722.80

 15:30:20

XLON

182

722.80

 15:32:02

XLON

597

722.80

 15:32:02

XLON

314

722.80

 15:32:02

XLON

600

723.00

 15:33:47

XLON

1054

723.20

 15:34:31

XLON

1082

723.00

 15:35:28

XLON

256

723.00

 15:35:28

XLON

1136

723.20

 15:37:11

XLON

600

723.20

 15:37:11

XLON

445

723.20

 15:37:11

XLON

649

722.60

 15:39:29

XLON

411

722.60

 15:39:29

XLON

34

722.60

 15:39:29

XLON

932

722.60

 15:39:29

XLON

293

723.00

 15:41:53

XLON

835

723.00

 15:41:53

XLON

986

723.00

 15:42:51

XLON

982

723.40

 15:44:50

XLON

397

723.40

 15:45:19

XLON

625

723.40

 15:45:19

XLON

184

723.20

 15:45:50

XLON

755

723.20

 15:45:50

XLON

640

723.00

 15:48:03

XLON

440

723.00

 15:48:03

XLON

959

722.80

 15:48:20

XLON

365

722.80

 15:50:20

XLON

692

722.80

 15:50:20

XLON

1129

722.80

 15:51:11

XLON

272

722.80

 15:52:20

XLON

665

722.80

 15:52:20

XLON

1076

723.00

 15:54:11

XLON

1136

722.80

 15:54:14

XLON

380

722.40

 15:56:15

XLON

1031

722.40

 15:56:39

XLON

297

722.80

 15:57:52

XLON

803

722.80

 15:57:52

XLON

100

723.20

 15:58:58

XLON

206

723.20

 15:58:58

XLON

1177

723.40

 15:59:33

XLON

957

723.60

 16:00:21

XLON

403

723.40

 16:01:12

XLON

1075

723.40

 16:01:37

XLON

151

723.60

 16:02:28

XLON

430

723.60

 16:02:28

XLON

500

723.60

 16:02:28

XLON

930

724.00

 16:03:49

XLON

323

724.00

 16:03:49

XLON

50

724.00

 16:03:49

XLON

1021

724.00

 16:04:45

XLON

257

724.00

 16:05:36

XLON

35

724.00

 16:05:36

XLON

76

724.00

 16:05:36

XLON

34

724.00

 16:05:36

XLON

97

724.00

 16:05:36

XLON

1013

724.00

 16:06:05

XLON

1148

724.00

 16:07:19

XLON

928

723.80

 16:07:19

XLON

266

724.20

 16:07:58

XLON

768

724.20

 16:07:58

XLON

432

724.20

 16:08:55

XLON

920

724.60

 16:16:00

XLON

 

 

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
 
 
POSBMBRTMTAJBTJ
Date   Source Headline
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
18th Jan 20245:08 pmRNSTransaction in Own Shares
17th Jan 20245:31 pmRNSTransaction in Own Shares
16th Jan 20245:45 pmRNSTransaction in Own Shares
15th Jan 20245:23 pmRNSTransaction in Own Shares
11th Jan 20245:06 pmRNSTransaction in Own Shares

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.

Login to your account

Don't have an account? Click here to register.

Quickpicks are a member only feature

Login to your account

Don't have an account? Click here to register.