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Pin to quick picksWhitbread Regulatory News (WTB)

Share Price Information for Whitbread (WTB)

London Stock Exchange
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Share Price: 3,027.00
Bid: 3,041.00
Ask: 3,043.00
Change: 31.00 (1.03%)
Spread: 2.00 (0.066%)
Open: 3,001.00
High: 3,042.00
Low: 2,999.00
Prev. Close: 2,996.00
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Transaction in Own Shares

3 Oct 2023 07:00

RNS Number : 4301O
Whitbread PLC
03 October 2023
 

Transactions in own shares

 

Whitbread PLC ("Whitbread") announces today that it has purchased the following number of its ordinary shares of 76 122/153 pence each on the London Stock Exchange and Multilateral Trading Facilities from J.P. Morgan Securities plc. Such purchase was effected pursuant to instructions issued by Whitbread on 25 April 2023, as announced on 25 April 2023:

 

Ordinary Shares

 

Date of purchase:                               

2 October 2023

Number of ordinary shares purchased:

127,670

Lowest price paid per share:

3,454.0000

Highest price paid per share:   

3,468.0000

Volume weighted average price paid per share:

3,465.1483

 

 

Whitbread intends to cancel the purchased shares.

 

Since 25 April 2023, Whitbread has purchased 8,794,942 shares at a cost of £296,936,432.42 .

 

 

Following settlement of the above transaction, Whitbread will hold 12,454,718 of its ordinary shares in treasury and has 205,794,975 ordinary shares in issue.

 

The table below contains detailed information about the purchases made as part of the buyback programme.

 

Schedule of Purchases

 

Shares purchased:        127,670 (ISIN: GB00B1KJJ408)

 

Date of purchases:       2 October 2023

 

Investment firm:         J.P. Morgan Securities plc

 

Aggregate information:

 

Venue

Volume-weighted average price

Aggregated volume

Lowest price per share

Highest price per share

London Stock Exchange

3,465.1854

125,578

3,454.0000

3,468.0000

BATS Europe

3,462.9264

2,092

3,457.0000

3,464.0000

 

Individual transactions:

Transaction Date and Time

Number of shares purchased

Transaction price per share (pence)

Venue

Transaction Reference Number

02-Oct-2023 09:20:11

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XLON

60002600000013279-E0G9VvwRC90520231002

02-Oct-2023 16:18:14

62

3464.0000

BATE

62762627600038194-300015IR20231002

02-Oct-2023 16:19:09

346

3466.0000

XLON

64002640000013585-E0G9VvwRCBu320231002

02-Oct-2023 16:19:09

127

3466.0000

XLON

64002640000013585-E0G9VvwRCBuC20231002

02-Oct-2023 16:20:11

223

3466.0000

XLON

60002600000013592-E0G9VvwRCDIy20231002

02-Oct-2023 16:20:11

147

3466.0000

XLON

60002600000013592-E0G9VvwRCDHA20231002

02-Oct-2023 16:21:00

246

3465.0000

XLON

60002600000013506-E0G9VvwRCEOT20231002

02-Oct-2023 16:21:28

281

3464.0000

XLON

64002640000013586-E0G9VvwRCF0k20231002

02-Oct-2023 16:21:28

151

3464.0000

XLON

64002640000013659-E0G9VvwRCF1020231002

02-Oct-2023 16:21:28

62

3464.0000

XLON

64002640000013659-E0G9VvwRCF0s20231002

02-Oct-2023 16:22:27

136

3467.0000

XLON

60002600000013660-E0G9VvwRCHT920231002

02-Oct-2023 16:22:27

50

3467.0000

XLON

60002600000013660-E0G9VvwRCHT420231002

02-Oct-2023 16:22:27

64

3467.0000

XLON

64002640000013725-E0G9VvwRCHTB20231002

02-Oct-2023 16:22:27

122

3467.0000

XLON

64002640000013725-E0G9VvwRCHTH20231002

02-Oct-2023 16:22:27

200

3467.0000

XLON

64002640000013725-E0G9VvwRCHTF20231002

02-Oct-2023 16:22:27

200

3467.0000

XLON

60002600000013660-E0G9VvwRCHT620231002

02-Oct-2023 16:23:41

349

3466.0000

XLON

60002600000013740-E0G9VvwRCIvR20231002

02-Oct-2023 16:23:41

249

3466.0000

XLON

64002640000013798-E0G9VvwRCIvT20231002

02-Oct-2023 16:25:06

47

3466.0000

XLON

64002640000013873-E0G9VvwRCKk020231002

02-Oct-2023 16:25:06

146

3466.0000

XLON

64002640000013873-E0G9VvwRCKk220231002

02-Oct-2023 16:25:06

82

3466.0000

XLON

64002640000013873-E0G9VvwRCKk420231002

02-Oct-2023 16:25:24

213

3465.0000

XLON

60002600000013813-E0G9VvwRCLBR20231002

02-Oct-2023 16:25:24

37

3465.0000

XLON

60002600000013813-E0G9VvwRCLBT20231002

02-Oct-2023 16:25:49

23

3464.0000

BATE

66212662100038963-300016WP20231002

02-Oct-2023 16:27:01

145

3464.0000

XLON

60002600000013907-E0G9VvwRCNcN20231002

02-Oct-2023 16:27:10

145

3463.0000

XLON

60002600000013901-E0G9VvwRCNq820231002

02-Oct-2023 16:28:26

113

3464.0000

XLON

60002600000013993-E0G9VvwRCPTx20231002

02-Oct-2023 16:29:30

97

3463.0000

XLON

64002640000014054-E0G9VvwRCQyW20231002

02-Oct-2023 16:29:38

10

3463.0000

XLON

64002640000014054-E0G9VvwRCREG20231002

 

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POSUPGPUUUPWGQP
Date   Source Headline
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29th Feb 20247:00 amRNSTransaction in Own Shares
28th Feb 20247:00 amRNSTransaction in Own Shares
20th Feb 20244:53 pmRNSDirector/PDMR Shareholding
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