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Pin to quick picksBodycote Regulatory News (BOY)

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Transaction in Own Shares

8 Apr 2024 07:00

Bodycote Plc - Transaction in Own Shares

Bodycote Plc - Transaction in Own Shares

PR Newswire

LONDON, United Kingdom, April 08

www.bodycote.com

 

8 April 2024

 

Bodycote plc

 

Share Buyback Programme - Transactions in Own Securities

 

Bodycote plc (the Company) announces that, in accordance with the terms of its share buyback programme announced on 15 March 2024 (the Programme) it has purchased the following number of its ordinary shares of 173/11 pence each (Ordinary Shares) through HSBC Bank PLC:

 

Date of purchase: 

5 April 2024

Aggregate number of ordinary shares purchased:

18,695

Highest price paid per share (pence per share):

693.0p

Lowest price paid per share (pence per share):

687.0p

Volume weighted average price paid per share: 

(pence per share)

690.6563p

 

 

The Company intends to cancel these Ordinary Shares.

 

Following the purchase, settlement and cancellation of these Ordinary Shares, the Company will have 190,968,727 Ordinary Shares in issue, with no shares held in treasury. This figure represents the total number of voting rights.

 

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), the table below contains the detailed breakdown of the individual trades made by HSBC Bank PLC on behalf of the Company as part of the Programme.

 

Since the commencement of the Programme, the Company has purchased 487,445 Ordinary Shares.

 

This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

 

For further information, please contact:

Bodycote plc

Stephen Harris, Group Chief Executive

Ben Fidler, Chief Financial Officer

Peter Lapthorn, Head of FP&A and Investor Relations

Tel: +44 1625 505300

FTI Consulting

Richard Mountain

Susanne Yule

Tel: +44 203 727 1340

 

 

Schedule of Purchases

 

Transaction Details:

 

Issuer name:  Bodycote plc

ISIN:   GB00B3FLWH99

LEI:   213800V93QFW53NB7Y29

Intermediary name: HSBC Bank PLC

Intermediary code: HBEU

Time zone:  GMT

Currency:  GBP

 

 

Individual Transactions:

 

Number of shares purchased

Transaction price (pence per share)

Time of transaction

Transaction reference number

Trading venue

503

690

08:14:29

OD_7vAS3Aw-00

XLON

406

690

08:32:10

OD_7vAWVLh-00

XLON

467

689

09:20:47

OD_7vAik2m-00

XLON

124

690

09:20:47

OD_7vAikCI-00

XLON

264

690

09:20:47

OD_7vAikCJ-01

XLON

55

690

09:20:47

OD_7vAikCJ-03

XLON

88

690

09:20:47

OD_7vAikCK-01

XLON

455

691

09:32:06

OD_7vAlafz-00

CHIX

25

691

09:33:16

OD_7vAlt2m-00

XLON

380

691

09:33:16

OD_7vAlt2m-02

XLON

74

689

10:22:20

OD_7vAyEqo-00

XLON

438

689

10:35:10

OD_7vB1TFC-00

XLON

210

693

10:51:55

OD_7vB5gfd-00

BATE

199

693

10:51:56

OD_7vB5gvn-00

AQXE

314

693

10:55:55

OD_7vB6h6e-00

CHIX

147

693

10:55:55

OD_7vB6h6e-02

CHIX

13

692

11:02:51

OD_7vB8R8k-00

AQXE

12

693

11:09:21

OD_7vBA4me-00

XLON

315

693

11:09:22

OD_7vBA53K-00

XLON

1

693

11:13:24

OD_7vBB601-00

XLON

161

692

11:13:24

OD_7vBB601-02

AQXE

735

692

11:13:24

OD_7vBB602-01

XLON

58

691

11:13:28

OD_7vBB6zh-00

XLON

145

691

11:13:28

OD_7vBB6zh-02

XLON

373

691

11:14:05

OD_7vBBGVQ-00

XLON

167

691

11:14:05

OD_7vBBGVQ-02

TRQX

170

691

11:56:03

OD_7vBLpih-00

CHIX

3

691

12:01:58

OD_7vBNJwM-00

CHIX

146

691

12:26:58

OD_7vBTc5P-00

CHIX

129

691

12:46:59

OD_7vBYeXA-00

CHIX

327

691

13:02:39

OD_7vBcb2I-00

CHIX

45

691

13:02:39

OD_7vBcb3q-00

CHIX

12

691

13:02:39

OD_7vBcb3q-02

CHIX

186

691

13:02:45

OD_7vBccpi-00

CHIX

163

691

13:12:32

OD_7vBf5Il-00

AQXE

104

691

13:22:07

OD_7vBhUsp-00

XLON

549

691

13:30:09

OD_7vBjWMN-00

XLON

198

689

13:30:11

OD_7vBjX2V-00

CHIX

113

689

13:31:10

OD_7vBjmIt-00

CHIX

2

690

13:40:44

OD_7vBmBWQ-00

BATE

159

690

13:42:21

OD_7vBmapr-00

XLON

435

691

13:47:38

OD_7vBnvOF-00

XLON

33

691

14:00:31

OD_7vBrAL2-00

AQXE

200

691

14:10:44

OD_7vBtjxm-00

BATE

141

690

14:40:05

OD_7vC184d-00

AQXE

426

690

14:40:05

OD_7vC184d-02

XLON

210

690

14:40:05

OD_7vC184e-00

BATE

328

689

14:40:06

OD_7vC18CH-00

CHIX

2

690

14:40:06

OD_7vC18CH-02

AQXE

306

689

14:40:06

OD_7vC18CI-01

CHIX

58

689

14:40:06

OD_7vC18CI-03

TRQX

95

689

14:40:06

OD_7vC18CJ-00

TRQX

13

688

14:40:09

OD_7vC193j-00

AQXE

682

689

15:01:13

OD_7vC6Rtg-00

XLON

180

689

15:01:13

OD_7vC6Rtg-02

AQXE

1

688

15:03:48

OD_7vC76BW-00

AQXE

1

688

15:03:48

OD_7vC76HV-00

AQXE

198

688

15:07:12

OD_7vC7xFz-00

CHIX

134

688

15:07:12

OD_7vC7xG0-00

AQXE

192

688

15:07:12

OD_7vC7xG0-02

CHIX

11

689

15:12:51

OD_7vC9NIS-00

XLON

453

689

15:25:25

OD_7vCCXUF-00

CHIX

209

689

15:25:25

OD_7vCCXUF-02

AQXE

200

689

15:25:25

OD_7vCCXUG-00

XLON

377

689

15:25:25

OD_7vCCXUH-01

XLON

168

688

15:25:28

OD_7vCCYNw-00

BATE

112

687

15:27:04

OD_7vCCxKf-00

AQXE

333

692

16:03:06

OD_7vCM1r8-00

CHIX

57

692

16:03:06

OD_7vCM1r9-00

CHIX

3

692

16:07:00

OD_7vCN0j7-00

TRQX

140

692

16:07:12

OD_7vCN3qY-00

XLON

46

692

16:07:12

OD_7vCN3qZ-00

XLON

508

692

16:07:12

OD_7vCN3qa-00

XLON

390

692

16:07:12

OD_7vCN3qa-02

XLON

598

692

16:07:13

OD_7vCN46w-00

XLON

459

692

16:13:38

OD_7vCOgGl-00

XLON

228

692

16:13:38

OD_7vCOgGl-02

AQXE

598

692

16:13:38

OD_7vCOgGm-00

CHIX

357

691

16:15:00

OD_7vCP1bo-00

CHIX

170

692

16:15:03

OD_7vCP2NQ-00

TRQX

43

692

16:15:03

OD_7vCP2NQ-02

TRQX

522

691

16:16:24

OD_7vCPNO2-00

XLON

169

691

16:16:24

OD_7vCPNO2-02

CHIX

86

691

16:16:24

OD_7vCPNO3-01

CHIX

138

691

16:28:24

OD_7vCSOXk-00

CHIX

113

691

16:29:39

OD_7vCSiCb-00

XLON

113

691

16:29:39

OD_7vCSiDK-00

AQXE

13

692

16:29:41

OD_7vCSimo-00

TRQX

11

692

16:29:42

OD_7vCSj33-00

TRQX

 



Date   Source Headline
12th May 20114:24 pmPRNDirector/PDMR Shareholding
5th May 20115:36 pmPRNAnnual Information Update
28th Apr 20115:00 pmPRNTotal Voting Rights
27th Apr 20114:50 pmPRNResult of AGM
27th Apr 20117:00 amRNSInterim Management Statement
20th Apr 20114:46 pmPRNDirector/PDMR Shareholding
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4th Apr 20115:37 pmPRNBlocklisting - Interim Review
31st Mar 20115:38 pmPRNDirector/PDMRs' Conditional Share Awards
31st Mar 20114:24 pmPRNTotal Voting Rights
29th Mar 20112:48 pmPRNDirector Share Transfer
25th Mar 20114:16 pmPRNAnnual Financial Report announcement
25th Mar 20117:00 amRNSBlock listing
18th Mar 20112:22 pmPRNStandard Life notify voting rights of 14.026%
28th Feb 20115:49 pmPRNTotal Voting Rights - February 2011
23rd Feb 20118:52 amPRNChange in Director's details
15th Feb 20111:41 pmPRNStandard Life notify voting rights of 13.99%
31st Jan 20114:38 pmPRNTotal Voting Rights - January 2011
19th Jan 20114:36 pmPRNL&G notify voting rights of 3.97%
14th Jan 20114:55 pmPRNL&G notify voting rights of 4.13%
4th Jan 20119:45 amPRNTotal Voting Rights - December 2010
13th Dec 20103:54 pmPRNStandard Life notify voting rights of 14.03%
1st Dec 201012:24 pmPRNStandard Life voting rights now at 13.03%
30th Nov 20105:27 pmPRNTotal Voting Rights - November 2010
5th Nov 20102:28 pmPRNStandard Life voting rights now 12.23%
1st Nov 20103:03 pmPRNStandard Life voting rights now 11.01%
28th Oct 201010:03 amPRNChange of Director's Details
15th Oct 20102:05 pmPRNStandard Life voting rights now 10.96%
13th Oct 20107:00 amPRNInterim Management Statement
11th Oct 201010:10 amPRNStandard Life voting rights now 11.02%
5th Oct 20103:03 pmPRNLD Pensions notifies 2.5% interest
4th Oct 20102:18 pmPRNStandard Life notify voting rights of 10.78%
1st Oct 20105:28 pmPRNBlocklisting - Interim Review
13th Sep 201010:21 amPRNAberforth voting rights now 4.97%
31st Aug 20105:45 pmPRNTotal Voting Rights - August 2010
19th Aug 20106:15 pmPRNDirector/PDMR Shareholding
11th Aug 20109:32 amPRNBlocklisting - Interim Review
3rd Aug 201010:39 amPRNStandard Life notify voting rights of 9.32%
3rd Aug 201010:39 amPRNStandard Life notify voting rights of 9.32%
30th Jul 20102:50 pmPRNTotal Voting Rights - July 2010
30th Jul 20102:50 pmPRNTotal Voting Rights - July 2010
28th Jul 20107:00 amRNSInterim Results
15th Jul 201010:00 amRNSNotification of change in Director's details
9th Jul 20107:00 amPRNTrading Update
1st Jul 201010:35 amPRNTotal Voting Rights - June 2010
1st Jul 201010:22 amPRNStandard Life notify voting rights of 8.95%
25th Jun 20106:00 pmPRNCo-investment Plan - investment by director/PDMRs
2nd Jun 20107:00 amRNSAppointment of Joint Broker
1st Jun 20107:44 amPRNTotal Voting Rights - May 2010
28th May 20107:00 amPRNCo-Investment Plan - investment by director

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