26 February 2025 |
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Bunzl plc |
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Transaction in own shares |
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Bunzl plc (the "Company" or "Bunzl") announces today that it has purchased the following number of its ordinary shares of 32¹/⁷ pence each through UBS AG London Branch ("UBS") on the London Stock Exchange in accordance with the authority granted by shareholders at the Company's Annual General Meeting on 24 April 2024 (the "Purchase"). The Purchase was effected in accordance with instructions issued by Bunzl on 31 December 2024, as announced on 31 December 2024. |
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Date of purchase: |
25 February 2025 |
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Aggregate number of ordinary shares purchased: |
23,377 |
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Highest price paid per share: |
GBp 3316 |
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Lowest price paid per share: |
GBp 3298 |
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Average price paid per share: |
GBp 3306.4874 |
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Bunzl intends to cancel the purchased shares. |
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Following the above transaction, Bunzl does not hold any of its ordinary shares in treasury and has 329,703,868 ordinary shares in issue. |
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Therefore, the total number of voting rights in the Company will be 329,703,868 and this figure may be used by shareholders as the denominator when determining whether they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules. |
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This purchase completes the £50 million buyback programme, which began on 02 January 2025. A total of 1,485,587 ordinary Bunzl plc shares were purchased, at a volume weighted price per share of 3,365.6727p for cancellation. |
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The table below contains detailed information about the purchases made as part of the buyback programme. |
Schedule of Purchases |
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Shares purchased: |
ISIN: GB00B0744B38 |
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Date: |
25 February 2025 |
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Intermediary name: |
UBS AG London Branch |
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Intermediary Code: |
UBSWGB24 |
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Currency: |
GBP |
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Aggregated information: |
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Venue |
Volume-weighted average price |
Aggregated Volume |
Lowest price per share |
Highest price per share |
London Stock Exchange |
3,305.09 |
14,791 |
3,298 |
3,316 |
BATS Europe |
3,308.84 |
5,571 |
3,300 |
3,316 |
Chi-X Europe |
3,305.68 |
1,592 |
3,300 |
3,310 |
Aquis |
3,312.67 |
1,423 |
3,310 |
3,316 |
Individual Transactions: |
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In accordance with Article 5(1)(b) of Regulation (EU) No. 596/2014 (as incorporated into UK domestic law by the European Union (Withdrawal) Act 2018), a full breakdown of the individual trades made by UBS on behalf of the Company as part of the Programme is detailed below: |
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Time |
Volume |
Price (GBp) |
Platform |
Transaction Reference Number |
12:47:27 |
629 |
3310 |
LSE |
2513789 |
12:48:30 |
561 |
3308 |
LSE |
2514670 |
12:53:30 |
144 |
3306 |
LSE |
2518234 |
12:53:30 |
464 |
3306 |
LSE |
2518232 |
12:57:57 |
703 |
3304 |
BATE |
2521723 |
13:09:07 |
369 |
3298 |
LSE |
2530601 |
13:09:07 |
207 |
3298 |
LSE |
2530599 |
13:30:33 |
374 |
3300 |
BATE |
2549223 |
13:30:33 |
153 |
3300 |
CHIX |
2549221 |
13:30:33 |
361 |
3300 |
BATE |
2549219 |
13:30:33 |
307 |
3300 |
CHIX |
2549217 |
13:48:47 |
603 |
3312 |
BATE |
2567925 |
13:48:47 |
457 |
3312 |
Aquis |
2567923 |
13:48:47 |
302 |
3312 |
LSE |
2567929 |
13:48:47 |
298 |
3312 |
LSE |
2567927 |
13:48:47 |
89 |
3312 |
BATE |
2567921 |
13:55:13 |
600 |
3312 |
LSE |
2574828 |
14:04:38 |
651 |
3308 |
LSE |
2585296 |
14:08:14 |
440 |
3306 |
CHIX |
2588675 |
14:08:14 |
714 |
3306 |
BATE |
2588673 |
14:21:23 |
577 |
3310 |
LSE |
2603607 |
14:21:23 |
484 |
3310 |
Aquis |
2603605 |
14:27:11 |
610 |
3310 |
LSE |
2611524 |
14:27:11 |
604 |
3310 |
BATE |
2611522 |
14:27:14 |
112 |
3310 |
BATE |
2611599 |
14:29:49 |
171 |
3308 |
LSE |
2616556 |
14:29:49 |
464 |
3308 |
LSE |
2616554 |
14:38:32 |
204 |
3312 |
BATE |
2644552 |
14:38:32 |
441 |
3312 |
BATE |
2644550 |
14:39:23 |
552 |
3310 |
LSE |
2647071 |
14:39:23 |
432 |
3310 |
CHIX |
2647069 |
14:48:13 |
534 |
3316 |
LSE |
2670416 |
14:48:13 |
115 |
3316 |
LSE |
2670414 |
14:48:13 |
638 |
3316 |
BATE |
2670412 |
14:48:27 |
337 |
3316 |
Aquis |
2670953 |
14:48:27 |
145 |
3316 |
Aquis |
2670951 |
14:53:00 |
611 |
3310 |
LSE |
2683228 |
14:58:30 |
573 |
3312 |
BATE |
2699375 |
14:58:30 |
155 |
3312 |
BATE |
2699373 |
15:01:48 |
260 |
3308 |
CHIX |
2710924 |
15:09:30 |
785 |
3300 |
LSE |
2729422 |
15:11:37 |
441 |
3300 |
LSE |
2734088 |
15:11:37 |
186 |
3300 |
LSE |
2734086 |
15:12:55 |
599 |
3298 |
LSE |
2736615 |
15:20:32 |
672 |
3300 |
LSE |
2755231 |
15:20:32 |
95 |
3300 |
LSE |
2755229 |
15:20:32 |
511 |
3300 |
LSE |
2755227 |
15:24:11 |
607 |
3300 |
LSE |
2763928 |
15:26:37 |
601 |
3300 |
LSE |
2771646 |
15:28:52 |
577 |
3298 |
LSE |
2776858 |
15:38:19 |
101 |
3302 |
LSE |
2798553 |
15:38:19 |
195 |
3302 |
LSE |
2798551 |
15:38:19 |
83 |
3302 |
LSE |
2798549 |
15:38:19 |
195 |
3302 |
LSE |
2798547 |
15:40:19 |
191 |
3302 |
LSE |
2802640 |
15:40:19 |
405 |
3302 |
LSE |
2802638 |
15:40:49 |
75 |
3302 |
LSE |
2803656 |
15:40:49 |
263 |
3302 |
LSE |
2803654 |
15:48:34 |
81 |
3306 |
LSE |
2819523 |
15:48:34 |
80 |
3306 |
LSE |
2819521 |
15:54:55 |
77 |
3310 |
LSE |
2831803 |
15:54:55 |
95 |
3310 |
LSE |
2831801 |
15:56:06 |
15 |
3308 |
LSE |
2833910 |
15:59:30 |
2 |
3310 |
LSE |
2841088 |